foto Hipolit Torro i Enguix
HIPOLIT TORRO I ENGUIX
PDI-Catedratic/a d'Universitat
Director/a Titulacio Master Oficial
Knowledge area: FINANCIAL ECONOMICS AND ACCOUNTANCY
Department: Financial and Actuarial Economics
Facultat d’Economia Av. dels Tarongers s/n 46022 Valencia Spain
(9616) 25074
Biography

Hipolit Torro is currently professor of Financial Economics at the Universitat de València, Spain. He has a B.A. in Economics and Business Administration from the Universitat de València, a M.Sc. in Financial Mathematics from the Universities of Edingburgh and Heriot-Watt and a Ph.D. in Financial Economics from the Universitat de València. He has published a number of referred articles in finance and economics academic journals (Energy Economics, Energy Policy, The Journal of Futures Markets, Journal of Business Finance and Accounting, Quantitative Finance, The Journal of Risk, Journal of Banking and Finance,…) and he has contributed to several books and conference proceedings. He has participated as a lead investigating member in research projects funded by the Generalitat Valenciana, Fundación Caja de Madrid, the Instituto Valenciano de Investigaciones Económicas, and the Ministerio de Educación y Ciencia of Spain. His current areas of interest are Energy Derivatives (electricity, oil, natural gas and renewable energy sources), Asset Pricing and Risk Portfolio Management.

Subjects taught and teaching methods
42206 - Modelos de renta fija - Master's Degree in Banking and Quantitative Finance
42204 - Econometría financiera - Master's Degree in Banking and Quantitative Finance
35872 - Final degree project in ADE - Double Degree in Tourism and Business Management and Administration
43795 - Degree final project - Master's Degree in Actuarial and Financial Sciences
42211 - Econometría financiera (ampliación) - Master's Degree in Banking and Quantitative Finance
35872 - Final degree project in ADE - Double Degree in Business Management and Administration and Law
35872 - Final degree project in ADE - ADE: Degree in Business Management and Administration
42218 - Procesos estocásticos (ampliación) - Master's Degree in Banking and Quantitative Finance
42202 - Procesos estocásticos - Master's Degree in Banking and Quantitative Finance
42203 - Cálculo numérico en finanzas - Master's Degree in Banking and Quantitative Finance
42208 - Gestión de riesgos - Master's Degree in Banking and Quantitative Finance
42213 - Medición de riesgos financieros - Master's Degree in Banking and Quantitative Finance
42221 - Seminario en banca - Master's Degree in Banking and Quantitative Finance
42216 - Modelos de renta fija (ampliación) - Master's Degree in Banking and Quantitative Finance
35871 - Prácticas Externas - ADE: Degree in Business Management and Administration
42200 - Fundamentos economía financiera I - Master's Degree in Banking and Quantitative Finance
42198 - Economía - Master's Degree in Banking and Quantitative Finance
42199 - Matemáticas y estadística - Master's Degree in Banking and Quantitative Finance
43791 - Modelos de Renta Fija - Master's Degree in Actuarial and Financial Sciences
42210 - Derivados (ampliación) - Master's Degree in Banking and Quantitative Finance
42219 - Macroeconomía en finanzas - Master's Degree in Banking and Quantitative Finance
35872 - Final degree project in ADE - Degree in Business Administration and Management in Ontinyent
42205 - Derivados - Master's Degree in Banking and Quantitative Finance
42222 - Seminar.métod.cuantitat. finanzas - Master's Degree in Banking and Quantitative Finance
42201 - Fundamentos economía financiera II - Master's Degree in Banking and Quantitative Finance
Tutorials
16/09/2024 - 31/07/2025
VIERNES de 10:00 a 13:00 5D08 DESPATX Planta 5 FACULTAT D'ECONOMIA
Observations
Participate in the e-tutoring programme of the Universitat de València