
معرفی
Giampaolo Gabbi is a Professor at the SDA Bocconi School of Management (Bocconi University), specializing in Risk Management and Financial Regulation. He currently serves as Associate Dean of the Custom Programs Corporate and Financial Institutions Division and coordinates programs on financial risk and regulatory debates.
- PhD in Business Economics (Bocconi University)
- Degree in Economics (University of Parma)
His research spans Risk Management, Capital Adequacy, Climate Finance, and Machine Learning in Finance, with a focus on regulatory frameworks, credit risk, and sustainable finance. Recent work explores the financial sector’s response to climate change and hybrid predictive models for credit risk.
Scientific contributions include:
- Top Teacher in Executive Education Award (2011, 2009, 2008)
- Best Paper Award at the International Business & Economy Conference (2009)
He has held academic roles at the University of Siena (Full Professor), University of Parma (Researcher), and City University London (Lecturer of Financial Regulation). He also chairs the Scientific Committee of the Risk Management Magazine (AIFIRM) and serves as Risk Management Department Editor for ADEIMF’s journal.





