Mario Vinzia
Fellow

Biography
Mario Vinzia is a SDA Fellow of Corporate Finance and Real Estate at SDA Bocconi School of Management.
His field of interest, teaching and research concerns corporate finance, enterprise risk management, financial planning, internationalization and foreign trade, company valuation, corporate social liability, IAS / IFRS accounting principles and corporate real estate.
He boasts international professional experiences in Corporate Finance and Administration & Control in important multinational companies including Eniservizi S.p.a, Il Sole 24 ORE, Zambon Group S.p.a and Novartis S.p.a.
He works as a technical consultant for American and Italian banks in the field of civil and criminal litigation regarding derivatives and structured financial instruments and he is a business consultant in the enterprise risk management field and IAS/IFRS.
In addition, he was a member of the Board of Directors and a member of the Risk Control and Related Parties Committee of ENAV S.p.A., as well as a member of the Board of Directors in unlisted entities (Financial Holding and Cooperative Credit Bank).
He earned his Master's Degree in Business Economics in 1986 from Bocconi University.
Recent Publications
- 2025
Derivati, pricing e scenari probabilistici: le criticità da una sentenza della Cassazione
VINZIA, M., "Derivati, pricing e scenari probabilistici: le criticità da una sentenza della Cassazione", Bancaria, 2025, no. 3, pp. 55-60 - 2023
Esg financing: obiettivi ambientali e riqualificazione del patrimonio immobiliare
VINZIA, M., "Esg financing: obiettivi ambientali e riqualificazione del patrimonio immobiliare", Bancaria, 2023, vol. 2 - 2023
ESG: implicazioni strategiche e operative per le imprese
GATTI, S., M. VINZIA, "ESG: implicazioni strategiche e operative per le imprese", Economia & Management, 2023, no. 2, pp. 88-94 - 2019
IFRS 16: prime considerazioni operative, criticità applicative e possibili soluzioni
VINZIA, M., L. CENCIONI, "IFRS 16: prime considerazioni operative, criticità applicative e possibili soluzioni", Guida alla Contabilità & Bilancio, 2019, vol. 10, pp. 16-26 - 2016
Come prendere le misure al rischio paese
VINZIA, M., "Come prendere le misure al rischio paese", Economia & Management, 2016, no. 4, pp. 53-57 - 2016
Finanza per la Crescita Internazionale
VINZIA, M., R. MAZZONI - "Finanza per la Crescita Internazionale" - 2016, Egea, Milano, Italy

