Giampaolo Gabbi

Professor of Practice
Knowledge groupFinance
Ambiti di ricercaAudit & Risk Management
Ambiti di insegnamentoRisk Assessment & Management, Derivatives, Capital Adequacy, Risk Regulation, Asset Allocation and Portfolio Management
Giampaolo Gabbi

Biografia

Giampaolo Gabbi è Professor of Risk Management Practic, Direttore Financial Institutions Programs for CFI Division e Direttore dell'Area Finanza. Ha ricoperto la carica di Associate Dean della Divisione Custom Programs Corporate and Financial Institutions.

Coordina programmi manageriali e di board induction su temi di rischi finanziari e relativi al dibattito regolamentare. Le sue ricerche si concentrano su risk management e asset management.

È titolare di corsi in Risk Management e Capital Management presso l'Università Bocconi. Ha insegnato all’Università di Siena, come Professore Ordinario, presso l’Università di Parma come ricercatore e presso City University London, come Lecturer of Financial Regulation.

È presidente del Comitato Scientifico del Risk Management Magazine dell’Associazione Italiana Financial Industry Risk Managers (AIFIRM); è Risk Management Department Editor del Journal pubblicato dall’Associazione dei Docenti di Economia degli Intermediari Finanziari (ADEIMF).

Giampaolo ha conseguito la Laurea in Economia e Commercio presso l’Università di Parma e il Dottorato in Economia Aziendale presso l’Università Bocconi.

Pubblicazioni recenti

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  • 2025
    Introduction to the Special Issue: Transforming the Future of Finance and Risk Management
    GABBI, G., D. GALAI, Z. WIENER, "Introduction to the Special Issue: Transforming the Future of Finance and Risk Management", The Quarterly Journal of Finance, 2025, vol. 15, no. 2
  • 2024
    A Novel Supervised-Unsupervised Approach for Past-Due Prediction
    GABBI, G., D. TONINI, M. RUSSO, "A Novel Supervised-Unsupervised Approach for Past-Due Prediction", Risk Management Magazine Aifirm, 2024, vol. 19, no. 2, pp. 4-21
  • 2023
    Financial Theory and Risk Modeling: Diverse Perspectives in Turbulent Times
    GABBI, G., D. GALAI, Z. WIENER, "Financial Theory and Risk Modeling: Diverse Perspectives in Turbulent Times", The Quarterly Journal of Finance, 2023, vol. 13, no. 02, pp. 2303001
  • 2023
    In the fight against climate change, did the financial sector cut secular ties with the oil industry or merely camouflage them?
    RUZZENENTI, F., K. HUBACEK, G. GABBI, "In the fight against climate change, did the financial sector cut secular ties with the oil industry or merely camouflage them?", Cleaner Production Letters, 2023, vol. 4, pp. 100040
  • 2023
    Regulating the banking sector to support credit access: Evidence from small business
    VOZZELLA, P., G. GABBI, "Regulating the banking sector to support credit access: Evidence from small business", Journal of International Financial Management and Accounting, 2023, vol. 34, no. 3, pp. 757-790
  • 2022
    Banking regulation, procyclicality, and asset correlations in the real economic environment
    VOZZELLA, P., G. GABBI, "Banking regulation, procyclicality, and asset correlations in the real economic environment", European Journal of Finance, 2022, vol. 28, no. 13-15, pp. 1383-1398

Grants & Premi

  • Top Teacher in Executive Education Award, SDA Bocconi School of Management, 2011

  • Best Paper Award, International Business & Economy Conference - IBEC, 2009

  • Top Teacher in Executive Education Award, SDA Bocconi School of Management, 2009

  • Top Teacher in Executive Education Award, SDA Bocconi School of Management, 2008