
About
Giampaolo Gabbi is a Professor of Practice in Risk Management at Bocconi University, serving as Associate Dean of the Custom Programs Corporate and Financial Institutions Division at SDA Bocconi School of Management. His academic career includes roles as Full Professor at the University of Siena, Researcher at the University of Parma, and Lecturer at City University London.
Research focuses on risk management frameworks, financial regulation, and asset allocation strategies. He coordinates executive education programs for corporate and financial institutions, emphasizing regulatory compliance and risk governance.
Editorial roles include Chair of the Scientific Committee for AIFIRM's Risk Management Magazine and Editor for the Risk Management Department at ADEIMF's Journal. Awards include multiple Top Teacher in Executive Education Awards from SDA Bocconi (2008-2011) and a Best Paper Award at the International Business & Economy Conference (2009).
Teaching spans courses like Risk Management with Derivatives, Capital Management, and ESG Integration. His publications analyze topics ranging from credit risk prediction to climate finance implications of fossil fuel investments.




