Massimo Massa teaches international finance, corporate finance, information financial economics and behavioral finance in MBA, PhD and Executive programs. He graduated summa cum laude from the Department of Economics at the LUISS University of Rome, Italy. He has obtained an MBA from the Yale School of Management and a PhD in Financial Economics from Yale University.His research interests include theory of information in financial markets, corporate finance, behavioral finance, and mutual funds. His articles have been published in academic journals such as Review of Financial Studies, Journal of Finance, Journal of Financial Economics, Journal of Business, Journal of Financial and Quantitative Analysis, Journal of Financial Markets, Journal of Banking and Finance, Management Science, Journal of Portfolio Management, Review of Finance. Massimo Massa and his research has been quoted and discussed in major magazines and newspapers (The Economist, Business Week, The New York Times, Wall Street Journal).He has previously worked in the Bank of Italy in the Banking Division (1989-1992) and in the Research Department (Monetary and Financial Markets Division) (1993-1997).