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Title: Professor

Short Description: Victor Ricciardi Behavioral Finance & Risk Expert, is an Assistant Professor of Financial Management at Goucher College. He teaches undergraduate courses in personal financial planning, corporate finance, investments, behavioral finance, and the psychology of money. Ricciardi is the Coordinator of Behavioral & Experimental Research for the Social Science Research Network (SSRN) at www.ssrn.com.

Institution: Goucher College

Department: Business Management

Contact Email: victor.ricciardi@goucher.edu

Special Academic Interests: , , , , , , , , , , , , , ,

Location: Towson, MD

Dept Homepage: http://www.goucher.edu/x41130.xml

Twitter URL:

Academia.edu Profile: academia.edu

SSRN Author Page: http://ssrn.com/author=262799

Linked in Profile: linkedin

Is this Member on the AGENDA team?: No

Joined: July 15th, 2011

About me:

Victor Ricciardi, BBA, MBA, APC is an Assistant Professor of Financial Management at Goucher College. He teaches undergraduate courses in personal financial planning, corporate finance, investments, behavioral finance, and the psychology of money. He is a former Assistant Professor of Finance (2005 to 2008) at Kentucky State University.

Ricciardi is the Coordinator of Behavioral & Experimental Research for the Social Science Research Network (SSRN) at www.ssrn.com and reports directly to Dr. Michael Jensen, Harvard University, Dr. Ross Watts, MIT, and Gregg Gordon, SSRN President. Ricciardi is the current Editor for seven SSRN eJournals: 1) SSRN Behavioral & Experimental Finance eJournal; 2) SSRN Behavioral & Experimental Finance (Editor's Choice) eJournal; 3) SSRN History of Finance eJournal; 4) SSRN Behavioral & Experimental Economics eJournal; 5) SSRN Behavioral & Experimental Accounting eJournal; 6) SSRN History of Accounting eJournal; 7) Microeconomics: Decision-Making under Risk & Uncertainty.

Ricciardi had two chapters published in the Handbook of Finance in August 2008. The titles of his book chapters are “The Psychology of Risk: The Behavioral Finance Perspective” and “Risk: Traditional Finance versus Behavioral Finance.” John Wiley & Sons is the publisher of this comprehensive three-volume set. Dr. Frank J. Fabozzi, Yale University is the Editor of this book series.

He is a former doctoral candidate in Finance (ABD Status) at Golden Gate University and his dissertation topic focused on behavioral finance, perceived risk, and common stock investments. He received his MBA in Finance and Advanced Masters in Economics (APC) from St. John's University and BBA in Accounting and Management from Hofstra University.

Ricciardi began his professional career in NYC as a mutual fund accountant for Dreyfus Corporation and Alliance Capital Management. He has also been employed as an Economic Analyst at the Federal Deposit Insurance Corporation (FDIC).

Ricciardi has given over 25 presentations at meetings, seminars, and conferences in the past eight years on the topics of investments, perceived risk, behavioral finance, and the Social Science Research Network (SSRN).