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Statistics and Risk ManagementActive Member

Associate professor, with a B.Sc. in Mathematics (UL) and a PhD in Economics (UNL). Her research focuses on Mathematical Economics, General Equilibrium with Financial Markets, Game Theory, Public Goods and Financial Econometrics, with publications in international journals such as Economic Theory, Journal of Mathematical Economics, Annals of Finance, Mathematical Social Sciences. She currently teaches the Advanced Mathematics course at NOVA School of Business and Economics to PhD students, as a guest professor. She is also the Coordinator of the Masters in Mathematics and Applications, as well as a member of the Scientific Committee for the Bachelor’s Degree in Mathematics Applied to Risk Management, both within the Department of Mathematics of NOVA Faculty of Sciences and Tecnology.


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Marta
Faias
Associate Professor
Statistics and Risk Management
Active Member