Pierpaolo Ferrari

Affiliate Professor
Knowledge groupFinance
Research domainsPrivate Banking and Wealth Management
Teaching domainsPrivate Banking, Financial Regulation, Asset Allocation and Portfolio Management, Tax and Legal Planning, Financial Institutions
Pierpaolo Ferrari

Biography

Pierpaolo Ferrari is an Affiliate Professor of Banking and Insurance at SDA Bocconi School of Management. He is a Full Professor of Financial Markets and Institutions at the Università di Brescia. For the academic years 2008/2009 to 2017/2018 he has taught in the course of Securities Markets at Università Bocconi, where today he teaches Financial System.

His collaboration with SDA Bocconi began in 1996. He has conducted research and education projects with major enterprises. He is the director of the OSSFIN Observatory of financial intermediaries within the Research Division of SDA Bocconi School of Management.

His research activities focus on asset management; the management and performance measurement of financial institutions; capital management in banks and financial institutions; tax planning in private banking.

He is the author of numerous books and articles on his topics of interest. He is the author of the following books: “Asset management and institutional investors”, “Economia della Banca”, “Liquidity risk management”, “La raccolta bancaria diretta”, “L’ora dei capitali”,  and many others. He is also the author of book chapters and scientific articles published in national and international journals. He is a member of the ABF Committee (Arbitro Bancario e Finanziario) at the Bank of Italy, Milan. He has been a visiting scholar at New York University.

Pierpaolo earned a 4-year degree in Business Administration from Università Bocconi in the academic year 1993-94 and a Ph.D. in Financial Markets and Institutions from the Università di Siena in the academic year 1998-99.

Recent Publications

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  • 2024
    Asset Management and Institutional Investors. 2nd Ed.
    BASILE, I., P. FERRARI (Eds.), "Asset Management and Institutional Investors. 2nd Ed." - 2024, Springer International Publishing
  • 2024
    Asset management e investitori istituzionali. III Ed.
    BASILE, I., P. FERRARI, M. D. BRAGA (Eds.), "Asset management e investitori istituzionali. III Ed." - 2024, Pearson Italia, Italy
  • 2024
    Collective Investment Vehicles and Other Asset Management Products
    FERRARI, P., "Collective Investment Vehicles and Other Asset Management Products" in Asset Management and Institutional Investors., Ignazio Basile, Pierpaolo Ferrari (Eds.), Springer International Publishing, pp. 31-91, 2024
  • 2024
    Gli organismi di investimento collettivo del risparmio e gli altri prodotti di risparmio gestito
    FERRARI, P., "Gli organismi di investimento collettivo del risparmio e gli altri prodotti di risparmio gestito" in Asset management e investitori istituzionali. III Ed.., Ignazio Basile, Pierpaolo Ferrari, Maria Debora Braga (Eds.), Pearson Italia, chap. 2, pp. 27-83, 2024
  • 2024
    Integrating Sustainability Criteria into the Investment Process
    BASILE, I., P. FERRARI, "Integrating Sustainability Criteria into the Investment Process" in Asset Management and Institutional Investors., Ignazio Basile, Pierpaolo Ferrari (Eds.), Springer International Publishing, pp. 257-281, 2024
  • 2024
    La valutazione della performance
    FERRARI, P., "La valutazione della performance" in Asset management e investitori istituzionali. III Ed.., Ignazio Basile, Pierpaolo Ferrari, Maria Debora Braga (Eds.), Pearson Italia, chap. 8, pp. 235-282, 2024