Maurizio Pompella is a Full Professor (professore ordinario) of Financial Intermediaries Economics at the University of Siena, School of Economics and Management (SEM), Italy. He has been a researcher, lecturer, senior lecturer, and associate professor since 1991, completed a 5 year term as Dean of the Economics and Banking Degree at the University of Siena (from 2009 to 2014), and is currently Dean of the MSc in Economics and Management of Financial Intermediaries. In November 2014 he was certified as Stand-by Professor at the LUISS - Guido Carli University in Rome as well, and since February 2015 he has been a Visiting Professor and PhD Supervisor at LSU-NN (Lobachevsky State University of Nizhny Novgorod, Russian Federation). Maurizio also is in charge of a course at the Charles University in Prague, Czech Republic, since 2012, and is serving as an Adjunct Professor at OMSU (Ogarev Mordovia State University of Saransk) , from December 2015, and SibSU (Siberian State University of Krasnoyarsk), Russian Federation.
Maurizio has been on the Editorial Board of Vestnik at LSU-NN, since 2014, serves as a book reviewer for the Journal of Risk and Insurance, published by ARIA – American Risk and Insurance Association, where several of his contributions have been published in the past, contributes to the ARIA Newsletter, and he is Editor of the Palgrave Studies in Risk and Insurance.
Maurizio has been teaching Banking, Finance, and Insurance at graduate and post-graduate level in Italy, Eastern Europe, Latin America, the Middle East, Russian Federation, and China, and was a Visiting researcher in the UK, at the University College of North Wales, UCNW; Visiting Professor in Argentina, at the Universidad de La Plata, Escuela de Especialisación en Disciplinas Bancarias, EEDB; Slovenia, at the Univerza V Ljubljani, Economska Faculteta; Lebanon, at the Ecole Supérieure des Affaires, ESA – ESCP, Beyrouth (a branch of École Supérieure de Commerce de Paris / EAP); the Czech Republic, at the Univerzita Karlova, Faculty of Social Sciences, Institute of Economic Studies, IES; Lithuania, at Vilnius University, Faculty of Economics; Russia, at LSU-NN (Lobachevsky State University of Nizhny Novgorod), OMSU (Ogarev Mordovian State University of Saransk), and SibSU (Siberian State University of Krasnoyarsk); Hungary, at Corvinus University; and China, at the Nanjing University of Aeronautics and Astronautics (NUAA) ??????????????, College of Economics and Management.
His areas of expertise include Financial Intermediaries Economics, Insurance Economics, Structured Insurance, Alternative Risk Transfer, Banking and Monetary Economics, Finance, Structured Finance, Project Finance, and Financial Innovation and Stability.