- Curriculum Vitae
- Teaching
- Appointments
- Research
Born in Salsomaggiore Terme (PR), 03/11/1968. E-mail gino.gandolfi@unipr.it
Study degrees and experiences
Graduated cum laude in Business Administration at the University of Parma, Italy in 1992
PhD in Business Administration at the “L. Bocconi” University (Milan)-Pavia University, 1999
Professional positions and honours
Bocconi University, Milan: Research Fellow 1995-1999
University of Parma: Lecturer in Banking 1999-2001
University of Parma: Associate Professor of Banking 2001-2006
University of Parma: Full Professor in Banking 2006-NOW
Research activity
Main research topics are following:
- Competition in banking:
- asset management;
- risk management and insurance;
- financial services market
Main recent publication
•“PID Feedback Controller used as a tactical asset allocation technique: The G.A.M. model”, in collaborazione con A. Sabatini e M. Rossolini, in Physica A, Statistical Mechanics and Its Applications, 2007.
• “I titoli a reddito fisso: I titoli di Stato e le obbligazioni societarie”, in Il Risparmio e gli Investimenti, Egea, Milano, 2007.
• “Dynamic MACD: standard deviation embedded in the MACD indicator for accurate adjustment to financial market dynamics”, in collaborazione con A. Sabatini, M. Rossolini e S. Caselli, in IFTA Journal, 2008 EDITION.
• “Le concentrazioni bancarie e gli effetti sulla struttura del sistema bancario italiano”, in “Le fusioni in banca. Gestire l’integrazione per creare valore. Esperienze di successo e leve manageriali”, A.Carretta e P.Schwizer (a cura di), Roma, Bancaria Editrice, 2008.
• “Il gestore imprese. Creare valore per la banca e il cliente con i sistemi informativi di ruolo”, G. De Laurentis e G. Gandolfi (a cura di), Roma, Bancaria Editrice, 2008
• “Gli investimenti in ICT: evoluzione e opportunità per il settore bancario italiano”, G. Gandolfi e M. Rossolini, in “Saggi in onore di Tancredi Bianchi”, M. Comana, M. Brogi (a cura di), Vol I, Roma, Bancaria Editrice, 2009.
• “La nascita del maggiore player mondiale nella gestione del risparmio”, G. Gandolfi e M. Arcuri, in Bancaria, n°7/8, 2009
• “Nasce il nuovo ‘big player’ mondiale nell’asset management”, G. Gandolfi, in Bancaforte, n°5, 2009
• “Corporate governance e consiglieri indipendenti: l’impatto sulla performance del private equity”, S. Caselli, G. Gandolfi e M. Rossolini in “Corporate governance: governo, controllo e struttura finanziaria”, Maggioni L., Potito L., Viganò R. (a cura di), Il Mulino, Collana AIDEA, 2009.
• “Le opzioni con Microsoft Excel”, Gandolfi G. in Excel per la Finanza e il Management L’utilizzo del foglio di calcolo nei principali problemi di finanza aziendale e di management, Tagliavini G. (a cura di), Alpha Test, 2° ed., 2010.
• “I rischi speculativi e i relativi problemi di copertura” G. Gandolfi, in Strumenti finanziari e creditizi Dai bisogni alle soluzioni, Munari L. (a cura di), Mc Graw Hill, 2° ed., 2011.
• “Il settore del risparmio gestito”, G. Gandolfi, G. Neri in Il risparmio gestito. Mercato, regole, rischi e gestione, R. Cofferata, Carretta A., Gandolfi G. (a cura di), numero monografico della rivista Economia e diritto del terziario, n. 3 2011.
• “Il risparmio gestito. Mercato, regole, rischi e gestione”, R. Cofferata, A. Carretta, G. Gandolfi (a cura di), numero monografico della rivista Economia e diritto del terziario, n. 3 2011.
• “Some lessons from the Italian asset management industry”, G. Gandolfi e M. Arcuri, in Banking, Finance, Markets, April-May 2011.
• “A new asset allocation technique to reduce financial portfolio risk” in collaborazione con A. Sabatini e M. Rossolini, in Journal of Asset Management, advance online publication 19 May 2011 doi:10.1057/jam.2011.22
• “An Innovative Systematic Approach to Financial Portfolio Management via PID Control” in collaborazione con A. Sabatini e M. Rossolini, in “PID Controllers”, edited by Ramesh Chandra Panda, Inthech, ISBN 978-953-307-927-1, 2012
• “La performance delle IPOs italiane nel medio-lungo termine: il caso delle imprese bancarie”, M. Arcuri, G. Gandolfi, M. Regalli, in Bancaria – sezione Forum (referata), n. 2, 2012.
• “Italian Asset Management Companies: governance structure and mutual funds”, G. Gandolfi e M. Arcuri, in Investment Management and Financial Innovations, Volume 10, Issue 2, 2013
• “Sovereign rating events and bank share prices in the italian market”, S. Caselli, G. Gandolfi e M. G. Soana, in “Banche e ciclo economico: redditività, stabilità e nuova vigilanza”, G. Bracchi e D. Masciandaro (a cura di), Edibank, ISBN 978-88-449-0512-5, 2013.
• “The Impact of Sovereign Rating News on European Banks”, S. Caselli, G. Gandolfi e M. G. Soana, in European Financial Management, Vol. 22, No. 1, 2016, 142–167. doi: 10.1111/eufm.12056
• “Cyber risk: a big challenge in developed and emerging markets”, Arcuri M.C., Brogi M., Gandolfi G., in “Handbook of Research on Modern Cryptographic Solutions for Computer and Cyber Security”, Brij Gupta, Dharma P. Agrawal, Shingo Yamaguchi (Editor), Advances in Information Security, Privacy and Ethics (AISPE) Book Series, IGI Global Publisher. ISBN: 9781522501053, 2016.
• “Key aspect of safety at work: A comprehensive literature review”, Arcuri M.C., Gandolfi G., Melloni R., in “EPH - International Journal of Science And Engineering”, Volume 2 Issue 11 November 2016. ISSN : 2454 – 2016
• “Customer and advisor financial decisions: the theory of planned behavior perspective”, Cucinelli D, Soana M., Gandolfi G, in “International Journal of Business and Social Science”, Vol. 7, No. 12 January 2017.
• “A disequilibrium model for estimating credit rationing in private small and medium enterprises: the role of size and ownership concentration”, Soana M., Verga G., Gandolfi G, in “International Journal of Business and Social Science” , Vol. 8, No. 1 February 2017.
• “La Teoria del comportamento pianificato e le scelte finanziarie degli investitori italiani”, D. Cucinelli, G. Gandolfi, M.G. Soana, in Bancaria – sezione Forum (referata), n. 2, 2017.
• “Il cyber risk nel settore finanziario: come reagisce il mercato?”, M.C. Arcuri, M. Brogi, G. Gandolfi, in Bancaria – sezione Forum (referata), n. 4, 2017.
• “Underpricing and long-term performance of IPOs: evidence from European intermediary-oriented markets", M.C. Arcuri, G. Gandolfi, M. Regalli, G. Soana in "Economics, Management and Financial Markets", Vol. 13(3), 2018. pp. 11–36, ISSN 1842-3191, eISSN 1938-212X doi:10.22381/EMFM13320181.
• “The effect of cyber attacks on stock returns”, Arcuri M.C., Brogi M., Gandolfi G., in “Corporate Ownership & Control”. Volume 15, Issue 2, Winter 2018.
• “Sovereign Wealth Fund investments: the stock market reaction”, Arcuri M. C., Gandolfi G., in “Asset Management: Strategies, Opportunities and Challenges”, Nova Science Publisher, 2018.
• “Scelta e gestione degli investimenti mobiliari. L’investitore, il consulente, il gestore, di fronte agli investimenti finanziari”, G. Gandolfi (a cura di), Roma, Bancaria Editrice, 2018.
• “Il mercato REPO USA sotto stress: interpretazioni ed implicazioni per la stabilità finanziaria”, Mantovi A., Caselli S., Gandolfi G., in “Il Risparmio”, No. 4, Ottobre-dicembre 2019.
• “What factors influence European corporate bond spread?”, Arcuri M. C., Gandolfi G., Monteux M., Verga G., in “International Journal of Business and Management”, Vol. 15, No. 3, March 2020.
• “From local academic spin-off to international firm: the case of VisLab”, Arcuri M.C., Bocchialini E., Gandolfi G., in “International Business Research” Vol. 13, No. 6, 2020.
Anno accademico di erogazione: 2024/2025
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2024/2025
- Course year: 3 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2022/2023
Anno accademico di erogazione: 2023/2024
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2023/2024
- Course year: 3 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2021/2022
Anno accademico di erogazione: 2022/2023
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2022/2023
- Course year: 3 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2020/2021
Anno accademico di erogazione: 2021/2022
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2021/2022
- Course year: 3 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2019/2020
- Course year: 1 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2021/2022
Anno accademico di erogazione: 2020/2021
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2020/2021
- Course year: 3 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2018/2019
- Course year: 1 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2020/2021
Anno accademico di erogazione: 2019/2020
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2019/2020
- Course year: 3 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2017/2018
- Course year: 1 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2019/2020
Anno accademico di erogazione: 2018/2019
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2018/2019
- Course year: 3 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2016/2017
Anno accademico di erogazione: 2017/2018
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2017/2018
- Course year: 3 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2015/2016
Anno accademico di erogazione: 2016/2017
- Course year: 3 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2014/2015
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2016/2017
Anno accademico di erogazione: 2015/2016
- Course year: 3 - First cycle degree (DM 270) - ECONOMICS AND MANAGEMENT - A.Y.: 2013/2014
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2015/2016
Anno accademico di erogazione: 2014/2015
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2014/2015
Anno accademico di erogazione: 2013/2014
- Course year: 1 - Second cycle degree - FINANCE AND RISK MANAGEMENT - A.Y.: 2013/2014
Professor/Teacher
- First cycle degree (DM 270) ECONOMICS AND MANAGEMENT A.Y. 2024/2025
- First cycle degree (DM 270) ECONOMICS AND MANAGEMENT A.Y. 2023/2024
- First cycle degree (DM 270) ECONOMICS AND MANAGEMENT A.Y. 2022/2023
- Second cycle degree FINANCE AND RISK MANAGEMENT A.Y. 2021/2022
- Second cycle degree FINANCE AND RISK MANAGEMENT A.Y. 2020/2021
- Second cycle degree FINANCE AND RISK MANAGEMENT A.Y. 2019/2020
- Second cycle degree FINANCE AND RISK MANAGEMENT A.Y. 2018/2019
- Second cycle degree FINANCE AND RISK MANAGEMENT A.Y. 2017/2018
- Second cycle degree FINANCE AND RISK MANAGEMENT A.Y. 2016/2017
- Second cycle degree FINANCE AND RISK MANAGEMENT A.Y. 2015/2016
- Second cycle degree FINANCE AND RISK MANAGEMENT A.Y. 2014/2015
Teacher tutor
- First cycle degree (DM 270) ECONOMICS AND MANAGEMENT A.Y. 2019/2020
Publications
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Year: 2024Author/s: Arcuri MARIA CRISTINA, Russo Ivan, Gandolfi Gino
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Year: 2023Author/s: Arcuri MARIA CRISTINA, Gandolfi Gino, Russo Ivan
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Year: 2023Author/s: Arcuri MARIA CRISTINA, Gandolfi Gino, Russo Ivan
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Year: 2022Author/s: Arcuri M. C., Gandolfi G., Laurini F.
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Year: 2021Author/s: Arcuri M. C., Gandolfi G., Monteux M., Verga G.