Maurizio POMPELLA Dept. of Law and Business Studies p ......2020/12/11  · 53100 – SIENA (Italy)...

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Maurizio POMPELLA © European Union, http://europass.cedefop.europa.eu Page 1 / 9 Latest update March, 2020 Maurizio POMPELLA Dept. of Law and Business Studies p.zza S. Francesco, n.7 53100 – SIENA (Italy) in brief … Maurizio Pompella is a Full Professor (professore ordinario) of Financial Intermediaries Economics at the University of Siena, School of Economics and Management (SEM), Italy. He has been a researcher, lecturer, senior lecturer, and associate professor since 1991, completed a 5 year term as Dean of the Economics and Banking Degree at the University of Siena (from 2009 to 2014), and is currently Dean of the MSc in Economics and Management of Financial Intermediaries. In November 2014 he was certified as Stand-by Professor at the LUISS - Guido Carli University in Rome as well, and since 2015-16 he has been a Visiting Professor and PhD Supervisor at LSU-NN (Lobachevsky State University of Nizhny Novgorod), and Visiting Professor at SibFU ( Siberian Federal University, Krasnojarsk), Russian Federation. Maurizio also is in charge of a course at the Charles University in Prague, Czech Republic, since 2012, and is serving as an Adjunct Professor at OMSU (Ogarev Mordovia State University of Saransk, RF). Maurizio has been serving as a book reviewer for the Journal of Risk and Insurance, published by ARIA – American Risk and Insurance Association, contributes to the ARIA Newsletter , and he is Editor of the Palgrave Studies in Risk and Insurance. Apart from Palgrave, he is serving as reviewer for Economic Modelling, Emerging Markets Finance and Trade, and the Journal of Monetary Economics and Finance. He is also on the Editorial Board of Review of Business (St. John’s University New York, US), the Vestnik of LSU (Nizhniy Novgorod, Russian Federation), EKONOMIKA (Vilnius University, LT), and Business, Management and Education (Gediminas Technical University Vilnius, LT). Maurizio has been teaching Banking, Finance, and Insurance at graduate and post-graduate level in Italy, Eastern Europe, Latin America, the Middle East, Russian Federation, and China, and was a Visiting researcher in the UK, at the University College of North Wales, UCNW; Visiting Professor in Argentina, at the Universidad de La Plata, Escuela de Especialisación en Disciplinas Bancarias, EEDB; Slovenia, at the Univerza V Ljubljani, Economska Faculteta; Lebanon, at the Ecole Supérieure des Affaires , ESA – ESCP, Beyrouth (a branch of École Supérieure de Commerce de Paris / EAP); the Czech Republic, at the Univerzita Karlova, Faculty of Social Sciences, Institute of Economic Studies, IES; Lithuania, at Vilnius University, Faculty of Economics; Russia, at LSU-NN ( Lobachevsky State University of Nizhny Novgorod), OMSU (Ogarev Mordovian State University of Saransk), and SibSU ( Siberian State University of Krasnoyarsk); Hungary, at Corvinus University; and China, at the Nanjing University of Aeronautics and Astronautics (NUAA) 南京航空航天大学国际教育学院, College of Economics and Management. His areas of expertise/interest include Financial Intermediaries Economics, Insurance Economics, Structured Finance and Innovation, Financial Stability, Alternative Risk Transfer, Fintech and Blockchain, Banking and Monetary Economics, Finance, and Project Finance. https://it.linkedin.com/in/mauriziopompella

Transcript of Maurizio POMPELLA Dept. of Law and Business Studies p ......2020/12/11  · 53100 – SIENA (Italy)...

Page 1: Maurizio POMPELLA Dept. of Law and Business Studies p ......2020/12/11  · 53100 – SIENA (Italy) in brief … Maurizio Pompella is a Full Professor (professore ordinario) of Financial

Maurizio POMPELLA

© European Union, http://europass.cedefop.europa.eu Page 1 / 9

Latest update March, 2020

Maurizio POMPELLA Dept. of Law and Business Studies p.zza S. Francesco, n.7 53100 – SIENA (Italy)

in brief …

Maurizio Pompella is a Full Professor (professore ordinario) of Financial Intermediaries Economics at the University of Siena, School of Economics and Management (SEM), Italy. He has been a researcher, lecturer, senior lecturer, and associate professor since 1991, completed a 5 year term as Dean of the Economics and Banking Degree at the University of Siena (from 2009 to 2014), and is currently Dean of the MSc in Economics and Management of Financial Intermediaries. In November 2014 he was certified as Stand-by Professor at the LUISS - Guido Carli University in Rome as well, and since 2015-16 he has been a Visiting Professor and PhD Supervisor at LSU-NN (Lobachevsky State University of Nizhny Novgorod), and Visiting Professor at SibFU (Siberian Federal University, Krasnojarsk), Russian Federation. Maurizio also is in charge of a course at the Charles University in Prague, Czech Republic, since 2012, and is serving as an Adjunct Professor at OMSU (Ogarev Mordovia State University of Saransk, RF).

Maurizio has been serving as a book reviewer for the Journal of Risk and Insurance, published by ARIA – American Risk and Insurance Association, contributes to the ARIA Newsletter, and he is Editor of the Palgrave Studies in Risk and Insurance. Apart from Palgrave, he is serving as reviewer for Economic Modelling, Emerging Markets Finance and Trade, and the Journal of Monetary Economics and Finance.

He is also on the Editorial Board of Review of Business (St. John’s University New York, US), the Vestnik of LSU (Nizhniy Novgorod, Russian Federation), EKONOMIKA (Vilnius University, LT), and Business, Management and Education (Gediminas Technical University Vilnius, LT).

Maurizio has been teaching Banking, Finance, and Insurance at graduate and post-graduate level in Italy, Eastern Europe, Latin America, the Middle East, Russian Federation, and China, and was a Visiting researcher in the UK, at the University College of North Wales, UCNW; Visiting Professor in Argentina, at the Universidad de La Plata, Escuela de Especialisación en Disciplinas Bancarias, EEDB; Slovenia, at the Univerza V Ljubljani, Economska Faculteta; Lebanon, at the Ecole Supérieure des Affaires, ESA – ESCP, Beyrouth (a branch of École Supérieure de Commerce de Paris / EAP); the Czech Republic, at the Univerzita Karlova, Faculty of Social Sciences, Institute of Economic Studies, IES; Lithuania, at Vilnius University, Faculty of Economics; Russia, at LSU-NN (Lobachevsky State University of Nizhny Novgorod), OMSU (Ogarev Mordovian State University of Saransk), and SibSU (Siberian State University of Krasnoyarsk); Hungary, at Corvinus University; and China, at the Nanjing University of

Aeronautics and Astronautics (NUAA) 南京航空航天大学国际教育学院, College of Economics and Management.

His areas of expertise/interest include Financial Intermediaries Economics, Insurance Economics, Structured Finance and Innovation, Financial Stability, Alternative Risk Transfer, Fintech and Blockchain, Banking and Monetary Economics, Finance, and Project Finance.

https://it.linkedin.com/in/mauriziopompella

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WORK EXPERIENCE and affiliations

University Professor

-Full Professor (professore ordinario) of Financial Intermediaries Economics at the School of Economics and Management, Law and Business Studies Department, University of Siena.

He has been teaching Banking, Finance and Insurance at graduate and post-graduate level in Italy, Eastern Europe, Latin America, Middle East, Russian Federation, and China.

-Dean of the Economics and Banking Degree, University of Siena (2009-2014);

-Dean of the Financial Intermediaries Economics and Management MSc, University of Siena (2014-present);

- Member of the Board, School of Economics and Management (SEM);

- Member, International Relations Commission, University of Siena.

-Series Editor, Palgrave Studies in Risk and Insurance;

-Member of the Editorial Board of

- Review of Business (St. John’s University New York, US),

- the Vestnik of LSU (Nizhniy Novgorod, Russian Federation),

- EKONOMIKA (Vilnius University, LT), and

- Business, Management and Education (Gediminas Technical University Vilnius, LT).

-Member of the European Association of University Teachers in Banking and Finance (since 1989); -Personal Member of the Societé Universitaire Europeenne de Recherches Financières (since 1993); -Member of American Risk and Insurance Association (since 2001);

-Founding Member of EuRun-BIS (Euro Russian Network for Banking and Insurance Studies) www.eurunbis.eu (still);

- Stand-by professor, LUISS Guido Carli University, Roma, Financial Intermediaries Economics (accredited, since 2015)

- PhD supervisor, Lobachevsky State University of Nizhniy Novgorod (LSUNN), since 2015-16.

- Adjoint Professor, Ogarev Mordovia State University (OMSU), Russian Federation, 2016.

- Adjoint Professor, SibSU (Siberian State University of Krasnoyarsk), Russian Federation, 2017.

- Visiting Professor, University of Aeronautics and Astronautics (NUAA), College of Economics

and Management, Nanjing / 南京航空航天大学国际教育学院, People's Republic of CHINA (PRC), 2016, 2017, 2018, 2019.

EDUCATION AND TRAINING

Research Fellow, Lecturer, Senior Lecturer, Professor.

Almost 30 years front-teaching experience, within academic institutions, and outside (Private Banks and Insurance Companies), in Italy and abroad

-Degree in Economics and Banking, University of Siena, ITA.

-Postgraduate Diploma at the SSDB (Scuola di Specializzazione in Discipline Bancarie),

University of Siena.

-Ph.D. (dottorato di ricerca) in Political Economy, University of Siena-Firenze-Pisa.

-Ricercatore (since 1991).

-Professore associato (since 2001).

-Certified Full-Professor (since 2014).

-Full Professor / professore ordinario (current).

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Job-related skills

Teaching activity (overseas / * undergraduate / ** post-graduate):

-Bank Management , faculty of Economics (Economska Faculteta, Univerza V Ljubljani), MBA,

Lubiana (SLOVENIA) (1995). **

-Principios y Métodos para la Gestión Créditos Bancarios, Escuela de Especialisación en Disciplinas

Bancarias (EEDB), La Plata (REP. ARGENTINA) (1996). **

-Portfolio Management (Mercato Finanziario e Gestione del Portafoglio Titoli), Scuola di Specializzazione in Discipline Bancarie (SSDB), Siena (1995; 1996; 1997). ** -Tecnica Bancaria, Siena (1995; 1996; 1997). * -Redditività bancaria, SSDB, Siena (1997; 1998). ** -Economia delle aziende di assicurazione, Siena (1998; 1999; 2000; 2001; 2002; 2003; 2004; 2005; 2006; 2007; 2008; 2009; 2010). * -Economia delle assicurazioni, Siena (2010; 2011; 2012; 2013; 2014; 2015; 2016; 2017). * -Prodotti Assicurativi, Siena (2002; 2003; 2004; 2005; 2006; 2007; 2008; 2009; 2010; 2011). * -Investment Banking, SSDB, Siena (1999; 2000; 2001; 2002). ** -Project Financing e Investimenti Infrastrutturali, Master in Dirigenza delle Amministrazioni Decentrate (DIADEMA) (2002). ** -Risk Management Strategies and Insurance, Mastère de Spécialisation en Finance (MSF), ESA

(Ecole Supérieure des Affaires), Beirut (LEBANON) (2000).**

-Sections "Teoria del Rischio" of the Master in Financial Management (MGF) and "Finanza Straordinaria" of the master FArM (Film Art Management) at Rome University La Sapienza, coordinator (2002; 2003; 2004; 2005; 2006; 2007).** -Teoria del Rischio, MGF - Rome University La Sapienza (2002; 2003; 2004; 2005; 2006; 2007). ** -Gestione Finanziaria degli Intermediari Assicurativi, Siena (2004; 2005; 2006; 2007; 2008; 2009; 2010). ** -Gestione Prodotti Vita Rivalutabili, Siena (2004; 2005). ** -Derivati Assicurativi (2005; 2006; 2007; 2008; 2009; 2010). ** -Finanza Strutturata, Master in Economia e Banca (MEBS), Siena (2007; 2008; 2009; 2010; 2011). ** -Finanza Strutturata e copertura dei Rischi di Progetto, Master in Management Pubblico (MAPU) (2009; 2010). ** -Structured Finance and Insurance, Siena (2011). ** -Finanza Strutturata e Assicurazioni, Siena, (2011; 2012; 2013; 2014; 2015; 2016; 2017). ** -Traditional and Alternative Risk Transfer in the Insurance Sector / JEM 141-Charles University,

Faculty of Social Sciences, Institute of Economic Studies (IES), Praga (CZECH REP.) (2012; 2013;

2014; 2015; 2016; 2017; 2018; 2019). */**

-Pure Risk Securitization and Financial Stability, an Economic Perspective, Vilnius University,

Faculty of Economics, Vilnius (LITHUANIA) (2014).**

-Cross Sector Risk Transfer and Financial Development, Lobachevsky State University of Nizhniy

Novgorod (RUSSIAN FED.) (2014).**

-New Business Models and Insurance, from Risk Warehousing to Securitization, Vilnius University,

Faculty of Economics, Vilnius (LITHUANIA) (2015; 2016).**

-The Logic of Scientific Method, and some other matters related to Financial Economics,

Lobachevsky State University of Nizhniy Novgorod (RUSSIAN FED.) (2015; 2016).**

-Risk Theory and Insurance, Ogarev Mordovia State University, Saransk (RUSSIAN FED.) (2015).*

-Structured Insurance and Pure Risk Securitization, Ogarev Mordovia State University, Saransk

(RUSSIAN FED.) (2015)**

- Structured Finance and Insurance, Corvinus University, Budapest (HUNGARY) (2016).**

-Structured Finance and Insurance / 结构化金融与保险, Nanjing University of Aeronautics and

Astronautics (NUAA), College of Economics and Management, Nanjing (南京航空航天大学国际

教育学院) People's Republic of CHINA (PRC), 2016 (Summer Lecture Program). **

-Structured Finance, Insurance and Unconventional Risk Transfer, SibSU (Siberian State University

of Krasnoyarsk) (RUSSIAN FED.), 2017. **

-Structured Insurance and URT (Unconventional Risk Transfer), Ogarev Mordovia State University,

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Saransk (RUSSIAN FED.) (2017)**

- Pure Risk Securitization and Financial Stability, an Economic Perspective, Corvinus University,

Budapest (HUNGARY) (2017).**

- Pure Risk Securitization and Financial Stability, an Economic Perspective, Vilnius University,

Faculty of Economics, Vilnius (LITHUANIA) (2017).**

- Financial Institutions Management and Unconventional Risk Transfer, VGTU (Vilnius Gediminas

Technical University, Vilnius (LITHUANIA) (2018).**

- Financial Intermediaries Specialness and Financialisation, VGTU (Vilnius Gediminas Technical

University, Vilnius (LITHUANIA) (2019).**

-Risk Management and Insurance / 风险管理及保险, Nanjing University of Aeronautics and

Astronautics (NUAA), College of Economics and Management, Nanjing (南京航空航天大学国际

教育学院) People's Republic of CHINA (PRC), 2016 (Summer Lecture Program), 2017, 2018,

2019. **

- Financial Institutions Management, University of Siena (2018, 2019, current).*

-Structured Finance and Insurance, University of Siena (2018, 2019, current). **

Other activities:

-Editor, Palgrave Studies in Risk and Insurance;

-Referee, Palgrave MacMillan, International Journal of Monetary Economics and Finance,

Economic Modelling, Emerging Markets Finance and Trade.

-Member of the Editorial Board of

i- Review of Business (St. John’s University New York, US), ii- the Vestnik of LSU (Nizhniy Novgorod, Russian Federation), iii- EKONOMIKA (Vilnius University, LT), and iv- Business, Management and Education (Gediminas Technical University Vilnius, LT).

-Book Reviewer for ARIA (American Risk and Insurance Association), since 2003.

-Founding Member and Scientific Coordinator of the European Working Group for Insurance

Studies, at the Ecole Supérieure des Affaires, Beyrouth, Lebanon (2000-2001).

-Scientific Director of the International Conference “Insurance and Risk Management in a

Financial Context, Restructuring of Financial Services Industry”, Beyrouth, Lebanon, Sept. 2000.

-Founding Member of EuRun-BIS (Euro Russian Network for Banking and Insurance Studies), Jan.

2014.

-Scientific Director and Coordinator of the 1st EuRun-BIS Symposium: “Russian versus

European Financial Systems in a Global Context; Regulation, Competition, Efficiency”, Nov. 2014, Lobachevsky State University of Nizhniy Novgorod – Russian Federation.

-Scientific Director of the 1st EuRun-BIS Forum: "Social Security, Pension Systems and

Sustainability", Siena, October 2014.

-Scientific Director of the 2nd EuRun-BIS Forum: "Euro and Eastern Economies Financial

Convergence, Euroisation, Development and Strategies", Siena, June 2015.

-Scientific Director and Coordinator of the 2nd EuRun-BIS Symposium: “Responses of Eastern

and Western Economies to the Global Financial Crisis”, Nov. 2016, Vilnius University, Vilnius, LT.

-Remote e-teacher, Lobachevsky State University of Nizhniy Novgorod (LSUNN), 2015; 2020.

-Delegate, The Working Group for Cooperation between CRUI and the Association of Russian HEIs

“Global Universities.”.

-Academic Coordinator, Capacity Building in the field of Higher Education (CBHE) – Erasmus Plus ,

Key Action 2, , applicant Institution, 2016, 2017, 2017 (winning).

-Coordinator of in-force UNISI Cooperation Agreements with:

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LSUNN – Lobachevsky State University of Nizhniy Novgorod (RF) SibFU – Siberian Federal University of Krasnoyarsk (RF) OMSU – Ogarev Mordovia State University of Saransk (RF) NUAA – Nanjing University of Aeronautics and Astronautics (NUAA), College of Economics and Management, Nanjing (PRC)

-Erasmus Coordinator of mobility with:

-Charles University in Prague, CZ -University of Malta, M -Vilnius University, LT -the Corvinus University in Budapest, HU -the Silesian University in Karvina, CZ -the University of National and World Economy in Sofia, BG -the University of Applied Sciences in Leiden, NL - the SKODA auto University, CZ -the AVANS University, NL -the Windsheim University for Applied Sciences, NL -the Hochschule fur Angewandte Wissenshaften Wuerzburg, D -Gediminas Technical University, Vilnius, LT

-Grants/public competitions:

Eranet MUNDUS – Staff, 2013, Reserved list, LSSNN - Lobachevsky State University of Nizhniy Novgorod (Russian Fed.). Eranet PLUS – Staff, 2013, Reserved list, LSUNN (Russian Fed.). Eranet MUNDUS – Staff, 2014, Selected, LSUNN (Russian Fed.). Eranet PLUS – Staff, 2015, Reserved list, LSUNN (Russian Fed.). Summer Lecture Program for Teaching - Nanjing University of Aeronautics and Astronautics (NUAA),

College of Economics and Management, Nanjing (南京航空航天大学国际教育学院) People's Republic of CHINA (PRC), Selected, 2016, Selected,2017, Selected,2018.

Organisational / managerial skills

-Director, co-director, Scientific Coordinator of research projects and research working

groups.

-Founding Member or Research Institutions.

-Member of Editorial Boards. -Series Editor. Academic Coordinator,

European Commission - CBHE (Capacity Building Higher Education) , Erasmus+ Key Action2.

- EQUES – Enhancing the Quality of Higher Education through Internationalization. Call for Proposal EAC/A04/2015, Rated.

- CREATIV – Common Recognition in Economics And Toolkit for the Internationalisation of Viable higher education. Call for Proposal EAC/A03/2016, Rated.

- JEUL – Joint Enterprise University Learning. Call for Proposal EAC/A03/2016

- >>> FUNDED <<<.

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Visiting -University College of North Wales (UCNW), Prifysgol Bangor, United Kingdom, 1986, 1989;

-Univerza V Ljubljani, Economska Faculteta, Slovenia, 1995;

-Universidad de La Plata, Escuela de Especialisación en Disciplinas Bancarias (EEDB), Rep. Argentina, 1996;

-Ecole Supérieure des Affaires (ESA – ESCP, École Supérieure de Commerce de Paris / EAP),

Beirut, Lebanon, 1999, 2000;

-Univerzita Karlova (Charles University), Faculty of Social Sciences, Institute of Economic

Studies (IES), Prague, Czech Rep., 2001, 2003, 2006, 2007, 2012, 2013, 2014, 2015, 2016,

2017, 2018;

- Lobachevsky State University of Nizhniy Novgorod / LSUNN (нижегородский

государственный университет им. н.и. лобачевского), Faculty of Finance, Nizhniy

Novgorod, Russian Fed., 2013, 2014, 2015;

-Vilnius University, Faculty of Economics, Vilnius, Lithuania , 2014, 2015, 2016, 2017;

-Lobachevsky State University of Nizhniy Novgorod (UNN), Institute of Economics and

Entrepreneurship, Nizhniy Novgorod, Russian Fed., 2014 (within the MUNDUS project),

winner of the ERANET-MUNDUS grant, STAFF section.

-Siberian Federal University / SibFU (Сибирский федеральный университет), Krasnoyarsk,

Russian Fed., 2015, 2017.

-Ogarev Mordovia State University / OMSU (Мордовский государственный университет),

Saransk Russian Fed. (2015, 2017).

-VGTU (Vilnius Gediminas Technical University, Vilnius, Lithuania , 2018, 2019.

- Corvinus University, Budapest, Hungary, 2016, 2017, 2018, 2019.

- Nanjing University of Aeronautics and Astronautics (NUAA), College of Economics and

Management, Nanjing, 南京航空航天大学国际教育学院 , People's Republic of China (PRC) (2016, 2017, 2018, 2019).

ADDITIONAL INFORMATION Major fields:

-Financial Intermediaries Economics -Banking and Insurance (Life, Property-Casualty, Liability) -Risk Theory -Financial Innovation and Securitization -Project Management and Financing -Financial Engineering and Structured Finance -Structured Insurance and Alternative Risk Transfer -Life Settlement and Longevity Risk -Fintech and Blockchain

Main computer skills Fortran, Visual Basic, Objective-C, Matlab.

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Publications

M. POMPELLA; COSTANTINO L., (2021, forthcoming), Fintech and Blockchain based Innovation, from Disruption to post-Pandemic Scenario, in: M. POMPELLA; Roman MATOUSEK, The PALGRAVE HANDBOOK of Fintech and Blockchain, Palgrave-MacMillan (PART 1 – Technology driven Business Models and Disruption; PART 2 – The post-Pandemic Order). M. POMPELLA (2021, forthcoming), The PALGRAVE HANDBOOK of Fintech and Blockchain, Editor (with Roman MATOUSEK)/co-author, Palgrave-MacMillan. M. POMPELLA; COSTANTINO L., (2020, forthcoming), Financial Innovation and Technology after COVID-19, a few directions for Policy Makers and Regulators in the view of old and new disruptors, EKONOMIKA. M. POMPELLA; COSTANTINO L., (2019), Fintech and Blockchain based Innovation, “UBERIZATION” of banks, in the Context of FIs Theory, Vestnik of UNN, Lobachevsky State University of Nizhniy Novgorod (RUSSIAN FED.), 4/2019.

M. POMPELLA (2017), Reinsurance, Insurability and the New Paradigms of Unconventional Risk Transfer, in: The Palgrave Handbook of Unconventional Risk transfer, Ed. Maurizio Pompella and Nicos Scordis, pp. 57-107, Palgrave-MacMillan. M. POMPELLA (2017), The PALGRAVE HANDBOOK of Unconventional Risk transfer, Editor (with Nicos SCORDIS)/co-author, Palgrave-MacMillan. M. POMPELLA; DICANIO A., (2016), Bank Vulnerability and Financial Soundness Testing: the Bank Resilience Index, EKONOMIKA, 2016, Vol. 95(3).

M. POMPELLA; DICANIO A., (2016), Ratings based Inference and Credit Risk, detecting likely to fail banks with the PC-M Method, Economic Modelling, Elsevier. M. POMPELLA ; C.BOIDO (2014), ‘Il trasferimento Alternativo dei Rischi fra Assicurazioni e Finanza’, McGraw Hill. M. POMPELLA (2014), ‘Bank Ratings Inference through Principal Components – Mahalanobis Methodology’, Vestnik of UNN, 4/36, Lobachevsky State University of Nizhniy Novgorod (RUSSIAN FED.). POMPELLA (2014). ‘La Cartolarizzazione al tempo della Crisi, Luci ed Ombre del Trasferimento Alternativo’. In: Studi in Onore di Franco Belli, Pacini Editore, Pisa. M. POMPELLA (2013). ‘The Mysterious Ways of Structured Insurance, Cross-section Risk Transfer and Crises’. Vestnik of UNN, Lobachevsky State University of Nizhniy Novgorod (RUSSIAN FED.), 3/2013.

M. POMPELLA (2013). ‘Structured Insurance e cartolarizzazione del rischio assicurativo”, Roma, 2013. M. POMPELLA (2012). ‘Trasferimento del Rischio e Crisi sistemiche, dalla cartolarizzazione del rischio Finanziario a quella del Rischio Puro’, Università degli Studi di Siena, Stamperia del Presidio di Economia. M. POMPELLA (2010). 'Measuring Vulnerability to Natural Hazards: Towards Disaster Resilient Societies, J. BIRKMANN, United Nations University Press, Tokyo, 2006 - (review to), reviewer Maurizio Pompella' (review publication, 2010) The Journal of Risk and Insurance. JOURNAL OF RISK AND INSURANCE (ISSN:0022-4367) pp. 959 - 961 Vol. 77,

M. POMPELLA (2009). Produzione assicurativa e creazione di valore: una riformulazione del modello dell'EVA per le compagnie di assicurazione. In: AA.VV., Banca, Sistemi e Modelli. Bancaria Editrice, ROMA M. POMPELLA. (2009). Rischio e Assicurazioni. ARACNE, ROMA: ITALIA. M. POMPELLA (2009). 'The New Programmes and Related Insurance Courses Offered at the "Richard M. Goodwin Faculty of Economics", University of Siena, Italy' (2009) ARIA news. ARIA NEWS, p. 10-11 Vol. 14. M. POMPELLA (2008). 'Managing Downside Risk, SORTINO F. and SATCHELL S., Butterworth-Heinemann, Oxford, 2001 - (review to), reviewer Maurizio Pompella' (review publication, 2004,The Journal of Risk and Insurance . JOURNAL OF RISK AND INSURANCE (ISSN:0022-4367) pp. 523 -525 Vol. 75,

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M. POMPELLA; P. AICARDI. (2007). Innovazione, strategie ed esperienze nel settore assicurativo: dalla bancassicurazione al Private Insurance. Giappichelli, TORINO: ITALIA. M. POMPELLA. (2006). La finanza di progetto: profili tecnici e normativi; i modelli, i contratti, i rischi, la valutazione degli investimenti e le possibili applicazioni. Franco Angeli, MILANO: ITALIA. M. POMPELLA (2005). 'Analysis of Financial Time Series, TSAY RUEY S., Wiley, New York, 2002 - (review to), reviewer Maurizio Pompella.' (review publication, 2005) The Journal of Risk and Insurance. JOURNAL OF RISK AND INSURANCE (ISSN:0022-

4367) pp. 355 - 356 Vol. 72, M. POMPELLA (2005). 'La Finanza di Progetto; il finanziamento e la valutazione dei progetti, i contratti ed il Project di diritto italiano (quaderni del DDE, Università di Siena, serie rossa, INTERVENTI, 2005). M. POMPELLA; J. S. LOPEZ (2004). 'Analisi ordinale del rischio di credito per un campione di banche di credito cooperativo.' (atto di convegno, 2004) , 102 - 139, Il rischio di credito e le implicazioni di Basilea 2, Siena (Italia) 2.3.2002. M. POMPELLA (2004). 'Produzione assicurativa ed innovazione di prodotto; i limiti alla finanziarizzazione' (quaderni del DDE, Università di Siena, serie rossa, INTERVENTI, 2004). M. POMPELLA (2004). 'An Introduction to Actuarial Mathematics, GUPTA A.K. and VARGA T., Kluwer Academic Publishers, 2002 - (review to), reviewer Maurizio Pompella.' (review publication, 2004) The Journal of Risk and Insurance. JOURNAL OF RISK AND INSURANCE (ISSN:0022- 4367) pp. 345 - 346 Vol. 71, M. POMPELLA (2004). 'Trasferire i rischi in modo alternativo'. ITALIA OGGI (ISSN:1120-6063) p. 24 -24 M. POMPELLA (2004). 'Un Project Finance tutto italiano; le forme contrattuali classiche a confronto con le norme interne' (review publication, 2004) Italia Oggi, 29 npv. 2004. ITALIA OGGI (ISSN:1120-6063) p. 24 - 24 M. POMPELLA (2004). 'PF, il prompter va sotto esame, ; al primo posto il controllo delle varianti nel Project Finance' (review publication, 2004), Italia Oggi, 22 nov. 2004. ITALIA OGGI (ISSN:1120- 6063) p. 24 - 24 M. POMPELLA (2004). 'Il Project Finance guadagna terreno' (review publication, 2004) Italia Oggi, 15 nov. 2004. ITALIA OGGI (ISSN:1120-6063) p. 9 - 9 M. POMPELLA (2004). 'Taking Technical Risks – how innovators, executives, and investors manage high-tech risks, LEWIS M. BRANSCOMB and PHILIP E. AUERSWALD, The MIT Press, 2001 - (review to); reviewer Maurizio Pompella' (review publication, 2004) The Journal of Risk and Insurance. JOURNAL OF RISK AND INSURANCE (ISSN:0022-4367) pp. 177 - 180 Vol. 71, M. POMPELLA (2003). 'Handbook of Management under Uncertainty, JAIME GIL-ALUJA (ed.), Kluwer Academic Publisher, 2001 - (review to); reviewer Maurizio Pompella' (review publication, 2003) The Journal of Risk and Insurance. JOURNAL OF RISK AND INSURANCE (ISSN:0022-4367) pp. 790 - 794 Vol. 70, M. POMPELLA (2003). 'Insurance Studies within the framework of the current Italian University Reform: an insider’s experience' (review publication, 2003) ARIA newsletter. ARIA NEWS (ISSN:null) p. 6 - 8 Vol. 8, M. POMPELLA (2003). 'Framework for Credit Risk Management, BRIAN COYLE, Fitzroy Dearborn, 2000 - (review to); reviewer Maurizio Pompella' (review publication, 2003) The Journal of Risk and Insurance. JOURNAL OF RISK AND INSURANCE (ISSN:0022-4367) pp. 182 - 183 Vol. 70, M. POMPELLA (2002). Della natura dei servizi assicurativi e della applicabilità dei moderni criteri per la gestione dei rischi in portafoglio alle assicurazioni. ASSICURAZIONI (ISSN:0004-511X) p. 57 - 57 Vol.1-2, M. POMPELLA (2002). 'Risparmio finanziario ed innovazione di prodotto nel settore assicurativo: verso nuove forme di intermediazione (sta in ... La riforma del mercato finanziario e le nuove regole del "governo" societario, a cura di Franco Belli e Maria Elena Salerno)' (pubblicazione su volume collettaneo, 2002) , 273 - 296 Volume: La riforma del mercato finanziario e le nuove regole del "governo" societario, Casa Editrice: giuffré editore, Milano. In: F.BELLI E M.E.SALERNO, La riforma del mercato finanziario e le nuove regole del "governo" societario, a cura di Franco Belli e Maria Elena Salerno. M. POMPELLA (2001). Risparmio finanziario ed innovazione di prodotto nel settore assicurativo; verso nuove forme di intermediazione (quaderni del DDE, Università di Siena, serie rossa, INTERVENTI, 2001). Università di Siena. M. POMPELLA (2000). 'Della natura dei servizi assicurativi e della applicabilità dei moderni criteri per la gestione dei rischi in portafoglio alle assicurazioni', (quaderni del DDE, Università di Siena, 2000).

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Maurizio POMPELLA

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M. POMPELLA (1999). Le nuove modalità per il finanziamento delle opere pubbliche: il Project Financing. BANCHE E BANCHIERI (ISSN:0390-1378) p. 24 - 24 Vol. 1, M. POMPELLA (1999). La finanza di progetto. In: BALBONI ENZO; FORTUNATO GIUSEPPE; MARENGHI ENZO MARIA; MERUSI SERGIO; PIRAINO ANDREA, Il Governo Locale oggi, manuale per il Sindaco ed i consiglieri. CEL Editore, ROMA p. 27 - 27

M. POMPELLA. (1999). Il finanziamento degli investimenti infrastrutturali, opere pubbliche e project financing. D'Anselmi Editore, ROMA: ITALIA. pp. 121 - 121 M. POMPELLA (1999). Dalla dematerializzazione delle banche a quella del cliente: gli Avatar Customers. p. 5 - 5 Vol. 1-2, M. POMPELLA (1999). '(Prodotto multimediale) - modello per l' analisi di sensitività del VAN' (opera multimediale, 1999) , 0.39MB, Casa Editrice: D' Anselmi editore, ROMA, ITALIA. M. POMPELLA; SALERNO MARIA ELENA (1998), SEs changing Strategies; Markets' Integration and

Governance, Research Papers in Banking and Finance, IEF - University College of North Wales, RP 98/4, Bangor (UK), maggio 1998, con M.E. Salerno; pp. 15.. M. POMPELLA (1997). Le scelte di localizzazione degli sportelli bancari, un modello per la stima dei tempi di raggiungimento del punto di pareggio. COOPERAZIONE DI CREDITO (ISSN:0010-8480) p. 52 -52 Vol. 155, M. POMPELLA (1994). Review tod A. Pin (La banca e l' economia, Milano, 1993), Studi e Informazioni, XXVII, n. 2/1994..

M. POMPELLA. (1994). I mercati finanziari dei Paesi della CEE. Giappichelli, TORINO: ITALIA. pp. 259 - 259 M. POMPELLA (1994). Review to P. Gualtieri (Dirigenti e capitali d' impresa, i piani di stock option, Bologna, 1993), Note Economiche, XXIV, n. 2/1994.. M. POMPELLA (1994). Stockmarkets Integration in EEC: an Empirical Evaluation, Research Papers in Banking and Finance, IEF - University College of North Wales, RP 94/19, Bangor (UK), dicembre 1994; pp. 42.

M. POMPELLA (1990). 5. Il mercato internazionale dei capitali, evoluzione e prospettive, ed. italiana da: The Internationalisation of Stockmarkets (D.E. Ayling, Gower, 1986); traduzione dall' inglese, note e appendici a cura di M. Pompella, NIS, Roma, 1990; pp. 237.. M. POMPELLA (1990). Il mercato dei capitali in Italia, caratteristiche strutturali, operatori e sviluppi recenti (Il mercato internazionale dei capitali, evoluzione e prospettive, Roma, 1990); pp. 9.. In: AYLING DAVE, The Internationalisation of Stockmarkets. M. POMPELLA (1989). Integration and Globalisation in the Primary and Secondary Eurobonds Market, Research Papers in Banking and Finance, IEF - University College of North Wales, RP 89/5, Bangor (UK), maggio 1989; pp. 15.. M. POMPELLA (1987). Il contributo di Herbert Simon alla teoria dell\' organizzazione a quarant’anni di distanza. p. 5 - 5 Vol. 4, M. POMPELLA (1981). Review to P. Dockès (L' internazionale del capitale, Roma, 1977), Riscontri, anno III, n. 1, gennaio-marzo 1981.. RISCONTRI (ISSN:0392-5080) M. POMPELLA (1981). Review to R. Dornbush - S. Fisher (Macroeconomia, Bologna, 1981), Riscontri, anno III, n. 4, ottobre-dicembre 1981.. RISCONTRI (ISSN:0392-5080)