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Disruption in the Infrastructure Sector

Challenges and Opportunities for Developers, Investors and Asset Managers
ISBN:
978-3-03-044669-7
Auflage:
1st ed. 2020
Verlag:
Springer International Publishing
Land des Verlags:
Schweiz
Erscheinungsdatum:
29.05.2021
Reihe:
Future of Business and Finance
Format:
Softcover
Seitenanzahl:
212
Ladenpreis
60,49EUR (inkl. MwSt. zzgl. Versand)
Lieferung in 5-10 Werktagen Versandkostenfrei ab 40 Euro in Österreich
Hinweis: Da dieses Werk nicht aus Österreich stammt, ist es wahrscheinlich, dass es nicht die österreichische Rechtslage enthält. Bitte berücksichtigen Sie dies bei ihrem Kauf.

A number of dramatic changes are currently reshaping infrastructure, a sector that investors and asset managers have traditionally considered to be a safe harbor in the field of alternative investments. Understanding the future of infrastructure is indispensable to guaranteeing a sustainable future for our planet and the welfare of the world’s population, and enhancing our knowledge of this asset class is one important step we can take toward reaching this crucial goal. 

This book collects a series of contributions by a group of Bocconi University researchers under the Antin IP Associate Professorship in Infrastructure Finance, which cover the key megatrends that are expected to reshape the way we think about infrastructure, and the implications for infrastructure investors and asset managers. Its goal is to improve and disseminate the culture of infrastructure among academics, professionals and policymakers. The main focus is on Europe and the European Union, andspecifically on three key sectors: power and energy, transportation infrastructure, and telecoms / ICT.  



Biografische Anmerkung

Stefano Gatti is the Antin IP Professor of Infrastructure Finance at the Department of Finance, Bocconi University, Milan, Italy. An expert on investment banking, he has published a number of books and articles on the topics of investment banking and project and infrastructure financing. He serves as a consultant to, and as a board member of, various financial and non-financial institutions, both in Italy and abroad. 

Carlo Chiarella is an Assistant Professor of Finance at CUNEF (Colegio Universitario de Estudios Financieros), Madrid, Spain. He holds a PhD in Finance from Bocconi University and is a Fellow of the BAFFI CAREFIN Centre for Applied Research on International Markets, Banking, Finance and Regulation.