David Moreno is an Associate Professor of Finance in the Department of Business Administration at the University Carlos III. He holds a PhD. in Economics and a B.A. degree in Economics from the University of Alcala (Madrid, Spain). He grew up in Tarancon, a small and lovely city in Cuenca.
He teaches Financial Management and Financial Economics to undergraduates and graduates; and Portfolio Theory and Fixed Income Assets to Masters students.
David’s research interests center on Mutual Funds Performance Evaluation, new portfolio theories (based on downside risk measures) and computational finance.
Nowadays,he is also the Director of the MSc in Finance at the Uc3m. This is a 1 year full-time master.