DAVID MORENO
Associate Professor in Finance, Universidad Carlos III de Madrid   

David Moreno is an Associate Professor of Finance in the Department of Business Administration at the University Carlos III. He was officially certified as Full Professor by the Ministry of Universities in Spain in 2021.He was previously the Director of MSc in Finance (www.uc3m.es/masterfinance), ranked among the Top 30 worldwide, from 2009, and he has been a visiting professor in NOVA School of Business and Economics (Portugal) and Villanova University (EEUU). David’s research is on Mutual Funds, Portfolio Management and Asset Pricing, examining issues as the effect of outsourcing in mutual fund industry, the performance evaluation of mutual funds, the idiosyncratic risk puzzle in equity or the performance of downside risk measures in portfolio management. He has a large experience in research, publishing in Top international journals including the Journal Financial Finance, Quantitative Finance (Top 10 worldwide), or European Journal of Operational Research. He teaches Financial Economics and Corporate Finance to undergrads and Portfolio Theory and Fixed Income Assets to Masters and Doctorate. He holds a PhD in Economics and a BA degree in Economics from the University of Alcala (Madrid, Spain).  
DAVID MORENO