Maurizio Pompella (BSc, MSc, PhD) is a Full Professor of Financial Intermediaries Economics at the University of Siena, School of Economics and Management. Dean of the Economics and Banking Degree (from 2009 to 2014), he is currently Dean of the MSc in Economics and Management of Financial Intermediaries. Visiting Professor and PhD Supervisor at LSU-NN, SibFU, and OMSU, Russian Federation, since 2014, Maurizio is also serving as an Adjunct Professor at Charles University in Prague (CZ), since 2012. Editor of the Palgrave Series on Risk and Insurance, Palgrave-Macmillan, since 2015, he has been book reviewer for the JRI, published by American Risk and Insurance Association, since 2003, and he is on the Editorial Board of a series of journals. Namely i- The Review of Business (St. John’s University New York, US), ii- the Vestnik of LSU (Nizhniy Novgorod, RF), iii- EKONOMIKA (Vilnius University, LT), and iv- Business, Management and Education (GTUV, LT). Maurizio has been teaching Banking, Finance, and Insurance at graduate and post-graduate level in Italy, Eastern Europe, Latin America, the Middle East, Russia, and China. His areas of expertise include Banking, Insurance Economics, Structured Finance and Insurance, Fintech and Blockchain, Alternative Risk Transfer, Sustainability Transition and ESG.
POMPELLA MAURIZIO
Presentation
Office hours
Prof. Pompella is available in presence soon after the Tuesday lectures, at 2.00 pm, and 24/7 through email (pompella@unisi.it).
You can also contact him to book a videocall or a phone call, if you need advise, whenever you like.
Curriculum Vitae
Teaching activities
Completion accademic year: 2025/2026
Completion accademic year: 2024/2025
Course year: 2
Second cycle degree (Laurea Magistrale)
ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTIONS
A.Y. 2023/2024
Completion accademic year: 2023/2024
Course year: 2
Second cycle degree (Laurea Magistrale)
ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTIONS
A.Y. 2022/2023
Completion accademic year: 2022/2023
Course year: 2
Second cycle degree (Laurea Magistrale)
ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTIONS
A.Y. 2021/2022
Completion accademic year: 2021/2022
Course year: 2
Second cycle degree (Laurea Magistrale)
ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTIONS
A.Y. 2020/2021
Research
Ultime pubblicazioni:
- Pompella, M., Costantino, L. (2026). Mapping ESG compliance and sustainability pathways in multinational companies: a PC-Mahalanobis analysis. FINANCE RESEARCH OPEN, 2(1), 1-11 [10.1016/j.finr.2025.100075]. - view more
- Pompella, M. (2025). From Carbon Exposure to Financial Impact, a 3D Mapping Framework for ESG Risk Assessment. In Conference Proceedings: International Conference on Business and Finance 2025 (ICBF 2025). Ho Chi Minh City : UEH University. - view more
- Scordis, N., Pompella, M. (2025). Resilience, risk, and reinvention: The challenges of insurance markets amid technological, behavioral, and systemic shocks. RISK MANAGEMENT AND INSURANCE REVIEW, 28, 695-717 [10.1111/rmir.70027]. - view more
- Pompella, M., Costantino, L. (2023). ESG Disclosure and Sustainability Transition: a new Metric and Emerging Trends in Responsible Investments. TALTECH JOURNAL OF EUROPEAN STUDIES, 13(1), 8-39 [10.2478/bjes-2023-0002]. - view more
- Pompella, M., Fasano, A., DE MARTINO, M. (2023). Critical Incidents in a financial context, an empirical analysis from Banking Students' and Financial Intermediaries Workers' experience. In D. Sieglová (a cura di), Emerging Critical Incident Research across European Contexts and Disciplines (pp. 127-155). Mladá Boleslav : ŠKODA AUTO University. - view more