
About
Alberto Manconi is an Associate Professor of Finance at Bocconi University, where he has been since 2016. Previously, he held positions as Assistant Professor (2010–2016) and later Associate Professor at Tilburg University in the Netherlands. His academic background includes a Ph.D. from INSEAD (Fontainebleau, France) and undergraduate studies at the Universities of Pisa, Turin (Italy), and Scuola Superiore Sant’Anna (Pisa, Italy). He has also held visiting roles at Nova SBE (Lisbon), the University of California’s Merage School of Business, and CEMFI (Madrid).
His research focuses on financial intermediation, including banking and non-bank intermediaries, corporate finance, and risk management. Notable areas of inquiry include credit risk, shareholder behavior, and systemic financial crises. Teaching includes courses like 'Introduction to Options and Futures' and 'Finance.'
Manconi’s publications span prestigious journals such as the Journal of Financial Economics and Review of Financial Studies. His work addresses topics like corporate hedging strategies, bondholder concentration effects, and the role of institutional investors in market crises. No scientific awards are explicitly mentioned in the provided text.
Professional activities include collaborations with global institutions and contributions to academic discourse on financial markets and corporate governance. His career reflects a strong emphasis on both theoretical and applied financial research with global relevance.
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