Flavio Pichler

Foto,  July 17, 2018
Position
Associate Professor
Academic sector
SECS-P/11 - FINANCIAL MARKETS AND INSTITUTIONS
Research sector (ERC)
SH1_4 - Banking; corporate finance; international finance; accounting; auditing; insurance

Office
Polo Santa Marta,  Floor 2,  Room 2.03
Telephone
045 802 8273
E-mail
flavio|pichler*univr|it <== Replace | with . and * with @ to have the right email address.

Office Hours

Thursday, Hours 4:30 PM, ,   Polo Santa Marta, Floor 2, room 2.03

Curriculum

Flavio Pichler is Associate Professor of Financial markets and institutions (SECS-P/11) since 2006. He obtained the PhD in “Business Administration” at Ca’ Foscari University of Venice in 1998. He is a member of the “Team AQ” for the Master’s degree’s course in “Banking and Finance” at the Department of Economics of the University of Verona.
 
His main research interests are:
  • Insurance management, risks, regulation and supervision;
  • Bank management, performance and regulation;
  • Risk management;
  • Theory, models and supervision of financial systems;
  • Crowdfunding.
His publications on these research topics are in the form of journal articles, book chapters and monographs.
In 2006, he was a member of the research unit participating in the PRIN project on “Cross-border and cross-sector concentration process of financial institutions in Europe”. The project was co-financed by the Italian Ministry of Education, Universities and Research (MIUR).
In 2002, he was a member of the research unit participating in the PRIN project on “Convergence on asset management in banking and insurance”. The project was co-financed by the Italian Ministry of Education, Universities and Research (MIUR).
In 2000, he was a member of the research unit participating in the PRIN project on “Internal controls and external supervision on financial institutions and insurance companies”. The project was co-financed by the Italian Ministry of Education, Universities and Research (MIUR).
 
Within the “Third Mission”, he holds lessons in the “Preparation course for Chartered Accountants and Statutory Auditors” of the University of Verona.

Modules

Modules running in the period selected: 71.
Click on the module to see the timetable and course details.

Course Name Total credits Online Teacher credits Modules offered by this teacher
Bachelors' degree in Business Administration and Management Financial Intermediation and Fundraising (2023/2024)   6  eLearning
Master’s degree in Banking and Finance Insurance management (2023/2024)   9  eLearning
Bachelors' degree in Business Administration and Management Financial Intermediation and Fundraising (2022/2023)   6  eLearning
Master’s degree in Banking and Finance Insurance management (2022/2023)   9  eLearning
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2021/2022)   9  eLearning
Master’s degree in Banking and Finance Insurance Economics (2021/2022)   6  eLearning
Master’s degree in Banking and Finance Insurance management (2021/2022)   9  eLearning
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2020/2021)   9  eLearning
Master’s degree in Banking and Finance Insurance management (2020/2021)   9  eLearning
Master’s degree in Banking and Finance Bank management (2019/2020)   9  eLearning
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2019/2020)   9  eLearning
Master’s degree in Banking and Finance Insurance management (2019/2020)   9  eLearning
Master’s degree in Banking and Finance Bank management (2018/2019)   9  eLearning
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2018/2019)   9  eLearning
Bachelor's degree in Business Administration (Verona) Financial markets and Institutions (2018/2019)   9  eLearning 2.5 
Master’s degree in Banking and Finance Insurance management (2018/2019)   9  eLearning
Master’s degree in Banking and Finance Bank management (2017/2018)   9  eLearning
Master's degree in Languages for Communication in Tourism and Commerce Corporate finance (2017/2018)   6  eLearning
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2017/2018)   9  eLearning
Master’s degree in Banking and Finance Insurance management (2017/2018)   9  eLearning
Master’s degree in Banking and Finance Bank management (2016/2017)   9  eLearning
Master's degree in Languages for Communication in Tourism and Commerce Corporate finance (2016/2017)   6  eLearning
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2016/2017)   9  eLearning
Master’s degree in Banking and Finance Insurance management (2016/2017)   9  eLearning
Master’s degree in Banking and Finance Bank management (2015/2016)   9   
Master's degree in Languages for Communication in Tourism and Commerce Corporate finance (2015/2016)   6   
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2015/2016)   9   
Master’s degree in Banking and Finance Insurance management (2015/2016)   9   
Master’s degree in Banking and Finance Bank management (2014/2015)   9    (lezione 2)
Master's degree in Languages for Communication in Tourism and Commerce Corporate finance (2014/2015)   6   
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2014/2015)   9    (lezione 1)
Master’s degree in Banking and Finance Insurance management (2014/2015)   9   
Master's degree in Languages for Communication in Tourism and Commerce Corporate finance (2013/2014)   6   
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2013/2014)   9   
Master’s degree in Banking and Finance Insurance management (2013/2014)   9   
Master's degree in Languages for Communication in Tourism and Commerce Corporate finance (2012/2013)   6   
Bachelor's degree in Business Administration (Verona) Financial markets and Institutions (2012/2013)   9   
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2012/2013)   9   
Master’s degree in Banking and Finance Insurance management (2012/2013)   9   
Master's degree in Languages for Communication in Tourism and Commerce Corporate finance (2011/2012)   6   
Bachelor's degree in Business Administration (Verona) Financial markets and Institutions (2011/2012)   9   
Bachelor's degree in Business Administration (Vicenza) Financial markets and Institutions (2011/2012)   9   
Master’s degree in Banking and Finance Insurance management (2011/2012)   9   
Degree in Business studies (until 2008-2009) Brokerage Economics I (2010/2011)   5    2.5 
Master's degree in Languages for Communication in Tourism and Commerce Business plan and fund raising (2010/2011)   6   
Master’s degree in Banking and Finance Insurance management (2010/2011)   9   
Degree in Business studies (until 2008-2009) Brokerage Economics I (2009/2010)   5    2.5  (1 - lezione)
Master's degree in Economics and Commerce (category 64/S) (until 2008-2009) Brokerage Economics II (2009/2010)   5   
Master's degree in Languages for commercial communication and the promotion of international tourism (until 2008-2009) Business plan and fund raising (2009/2010)   6   
Degree in Business studies (until 2008-2009) Brokerage Economics I (2008/2009)   5    2.5  1 - lezione
Master's degree in Economics and Commerce (category 64/S) (until 2008-2009) Brokerage Economics II (2008/2009)   5   
Master's degree in Languages for commercial communication and the promotion of international tourism (until 2008-2009) Business plan and fund raising (2008/2009)   6   
Degree in Business studies (until 2008-2009) Brokerage Economics I (2007/2008)   5    2.5  Lezione 1
Master's degree in Languages for commercial communication and the promotion of international tourism (until 2008-2009) Business plan and fund raising (2007/2008)   6   
Degree in Business studies (until 2008-2009) Brokerage Economics I (2006/2007)   5    4.5  lezione 1
Master's degree in Banking and Insurance Economics Economics and Insurance techniques (2006/2007)   10    10 
Master's degree in Banking and Insurance Economics Economics and Insurance techniques (2005/2006)   10    10 
Master's degree in Quantitative Methods for Finance (until 2008-2009) Insurance Company Economics and Management I (2005/2006)   4      LEZIONE 1
Bachelor in Market Economics and Brokerage (cat. 17) Insurance Company Economics and Management I (2005/2006)   4    LEZIONE 1
Master's degree in Banking and Insurance Economics Financial markets (2004/2005)   10    LEZIONE 3
Bachelor's degree in Economics and Commerce (category 17) Financial markets and Institutions [Cognomi L-Z] (2004/2005)   6   
Bachelor in Market Economics and Brokerage (cat. 17) Insurance Company Economics and Management I (2004/2005)   4    LEZIONE 2
Bachelor in Business Studies (old system) Brokerage Economics PS (2003/2004)   0     
Bachelor's degree in Company Economics (cat. 17) Financial markets and Institutions [Cognomi L-Z] (2003/2004)   6     
Masters in Banking and Insurance Economics (cat. 84/S) Insurance Company Economics and Management (advanced) (2003/2004)   4   
Bachelor in Market Economics and Brokerage (cat. 17) Insurance Company Economics and Management I (2003/2004)   4     
Bachelor in Banking Economics (old system) Insurance Company Economics PS (2003/2004)   0     
Bachelor's degree in Company Economics (cat. 17) Financial markets and Institutions [Cognomi L-Z] (2002/2003)   6     
Bachelor in Market Economics and Brokerage (cat. 17) Insurance Company Economics and Management I (2002/2003)   4     
Bachelor in Market Economics and Brokerage (cat. 17) Financial markets and Institutions [Cognomi L-Z] (2001/2002)   6     
Bachelor in Market Economics and Brokerage (cat. 17) Insurance Company Economics and Management I (2001/2002)   4     

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Research interests
Topic Description Research area
Bank management, performance and supervision Analysis of banking supervision, focusing on prudential regulation and its development from Basel II to Basel III framework. Analysis of the rules set on capital requirements and own funds with specific attention on credit risk. Credit quality, loan-loss provisioning and systematic risk of banks. Non-performing loans: management techniques of nonperforming loans and evolution of regulation. Management of financial institutions
Management of financial institutions
Insurance management, regulation and supervision Study of the peculiarities of insurance companies and of their risks. Development of regulation and supervision of the insurance sector. Solvency II: the three pillars structure (capital requirements, governance and supervision – ORSA, market discipline and disclosure): determinants of MCR and SCR, evaluation of the governance of insurance companies and own risk and solvency assessment, analysis of the information disclosure towards the public and the supervisory authority. Market consistent valuation of assets and liabilities. Management of financial institutions
Management of financial institutions
Crowdfunding Analysis of crowdfunding categories. Study of the features and functioning of crowdfunding platforms. Qualitative and quantitative investigation of success factors in crowdfunding campaigns, especially equity platforms where applicants are SMEs. Analysis of the potential biases affecting investor’s behaviour. Study of the impact of supervision and regulation on the future impact on crowdfunding’s future development. Corporate finance
Corporate finance
Projects
Title Starting date
Processi di concentrazione cross border ed intersettoriale degli Intermediari Finanziari in Europa: profili strategico-organizzativi. (2006) 1/1/06
Rischi, controlli e regolamentazione nel settore assicrativo 11/1/05
La gestione del rischio operativo e i controlli interni negli intermediari finanziari 11/1/05
Profili evolutivi nella disciplina e nei controlli dei mercati e degli intermediari finanziari. 1/1/04
Profili evolutivi ed aspetti organizzativi della regolamentazione degli Intermediari finanziari 1/1/02
Il ruolo degli intermediari bancari, mobiliari e assicurativi nell'asset management : profili gestionali e problematiche operative 1/1/02
Il ruolo degli intermediari bancari, mobiliari e assicurativi nell'asset mmanagement: profili gestionali e problematiche operative. (2002) 1/1/02
i filoni storico dottrinali dell'economia aziendale nei paesi di lingua tedesca 1/1/01
la valutazione economica delle imprese nella dottrina economica tedesca 1/1/01
Profili di vigilanza sugli intermediari finanziari e assicurativi: problematiche gestionali e coerenza tra la normativa di vigilanza e i sistemi di controllo interno (2000) 1/1/00
la formazione e l'interpretazione del bilancio consolidato di gruppo 1/1/98




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