Professor Vito Mollica

vito-mollica

Biography

Professor Mollica’s research centres on securities market design, asset selection criteria, quantitative investment research and residential property price dynamics. He is currently working on issues related to high frequency traders, market transparency, institutional execution costs and property marketing strategies.

Professor Mollica has published in leading finance and accounting journals including Journal of Banking and FinanceABACUSJournal of Futures Markets, and Accounting, Auditing and Accountability Journal.

He is also a co-author of a leading MBA textbook in the Australian market. He was awarded the ACGR Award for Excellence in Promoting Industry Engagement in Graduate Research and a Marie Curie Fellowship with posting to Aarhus University, Denmark.

Qualifications

  • 2006 Doctor of Philosophy (Finance), University of Sydney
  • 2001 Bachelor of Commerce (Hons, Accounting & Finance)