Dr Giovanni Calice
Senior Lecturer in Finance
Dr Calice’s research spans several areas, including financial markets and institutions, financial innovation and financial stability.
His recent research focuses on tests of idiosyncratic sovereign risk, analysis of systemic risk in the financial sector, market liquidity and asset pricing.
Dr Calice teaches International Financial Management and Portfolio Management at postgraduate level.
Prior to joining Loughborough University, he held posts at the University of Birmingham and the University of Southampton. He holds a PhD in Economics from the University of Bath.