
معرفی
Mario Vinzia is a Research Fellow in Corporate Finance and Real Estate at SDA Bocconi School of Management, where he focuses on financial risk management, ESG integration, and international business strategies. His expertise spans corporate finance, accounting standards (IAS/IFRS), and real estate finance.
- Education: Master's Degree in Business Economics (1986) from Bocconi University
His research emphasizes financial decision-making in multinational corporations, enterprise risk management, and sustainable financing practices. Recent publications explore ESG financing, IFRS compliance, and country risk analysis.
He serves as a technical consultant for American and Italian banks on derivatives litigation and acts as a business consultant in enterprise risk management. He has held board positions at ENAV S.p.A. and unlisted financial entities.





