Emanuele Maria Carluccio

Foto,  May 30, 2018
Position
Full Professor
Academic sector
SECS-P/11 - FINANCIAL MARKETS AND INSTITUTIONS
Research sector (ERC)
SH1_4 - Banking; corporate finance; international finance; accounting; auditing; insurance

Telephone
045 802 8487
E-mail
emanuelemaria|carluccio*univr|it <== Replace | with . and * with @ to have the right email address.

Office Hours

Monday, Hours 2:30 PM - 5:30 PM,  

Curriculum

Emanuele Carluccio is Full Professor of Banking and Finance at Verona University since 2005. He has been before Full Professor of Banking and Finance at University of Valle d’Aosta, from 2001 to 2005, where he has also been Rector of the University from 2001 to 2004; he has been before Associate Professor and Researcher of Banking and Finance at Bocconi University from 1990 to 2001.
 
His main research interests are:
•    asset management
•    the advisory on investments activity
•    bond portfolio management
•    valuation of Asset management companies and financial intermediaries.
On the research topics listed above, he published monographs, book chapters and journal articles.

Modules

Modules running in the period selected: 45.
Click on the module to see the timetable and course details.

Course Name Total credits Online Teacher credits Modules offered by this teacher
Master’s degree in Banking and Finance Bond portfolio management and equity (markets and instruments) evalutation (2023/2024)   9  eLearning
Master’s degree in Banking and Finance Private banking and wealth planning (2023/2024)   9  eLearning
Master’s degree in Banking and Finance Bond portfolio management and equity (markets and instruments) evalutation (2022/2023)   9  eLearning
Master’s degree in Banking and Finance Private banking and wealth planning (2022/2023)   9  eLearning
Master’s degree in Banking and Finance Bond portfolio management and equity (markets and instruments) evalutation (2021/2022)   9  eLearning
Master’s degree in Banking and Finance Private banking and wealth planning (2021/2022)   9  eLearning
Master’s degree in Banking and Finance Bond portfolio management and equity (markets and instruments) evalutation (2020/2021)   9  eLearning
Master’s degree in Banking and Finance Private banking and wealth planning (2020/2021)   9  eLearning
Master’s degree in Banking and Finance Bond portfolio management and equity (markets and instruments) evalutation (2019/2020)   9  eLearning
Master’s degree in Banking and Finance Private banking and wealth planning (2019/2020)   9  eLearning
Master’s degree in Banking and Finance Bond portfolio management and equity (markets and instruments) evalutation (2018/2019)   9   
Master’s degree in Banking and Finance Private banking and wealth planning (2018/2019)   9   
Master’s degree in Banking and Finance Bond portfolio management and equity (markets and instruments) evalutation (2017/2018)   9   
Master’s degree in Banking and Finance Private and corporate banking (2017/2018)   9    MODULO II
MODULO I
Master’s degree in Banking and Finance Financial markets (2016/2017)   9  eLearning
Master’s degree in Banking and Finance Private and corporate banking (2016/2017)   9    MODULO II
MODULO I
Master’s degree in Banking and Finance Financial markets (2015/2016)   9    (lezione 1)
Master’s degree in Banking and Finance Private and corporate banking (2015/2016)   9    MODULO I
MODULO II
Master’s degree in Banking and Finance Private banking (2015/2016)   6   
Master’s degree in Banking and Finance Financial markets (2014/2015)   9    (lezione 1)
Master’s degree in Banking and Finance Private and corporate banking (2014/2015)   9    MODULO II
MODULO I
Master’s degree in Banking and Finance Financial markets (2013/2014)   9   
Master’s degree in Banking and Finance Private and corporate banking (2013/2014)   9    MODULO I
Master’s degree in Banking and Finance Corporate e private banking (2012/2013)   9    MODULO II
MODULO I
Master’s degree in Banking and Finance Financial markets (2012/2013)   9   
Master’s degree in Banking and Finance Corporate e private banking (2011/2012)   9   
Master’s degree in Banking and Finance Financial markets (2011/2012)   9   
Master’s degree in Banking and Finance Corporate e private banking (2010/2011)   9   
Master’s degree in Banking and Finance Financial markets (2010/2011)   9   
Master’s degree in Banking and Finance Financial markets (2009/2010)   9    (1 - lezione)
Master’s degree in Economics Investments (2009/2010)   6    (2 - lezione)
Specialised Degree in the Economics of banks and financial markets Private and corporate banking (2009/2010)   10    10 
Specialised Degree in the Economics of banks and financial markets Financial markets (2008/2009)   10    10 
Specialised Degree in the Economics of banks and financial markets Private and corporate banking (2008/2009)   10    10 
Specialised Degree in the Economics of banks and financial markets Financial markets (2007/2008)   10    10 
Specialised Degree in the Economics of banks and financial markets Private and corporate banking (2007/2008)   10    10 
Specialised Degree in the Economics of banks and financial markets Financial markets (2006/2007)   10    lezione 1
Master's degree in Banking and Insurance Economics Financial markets and Institutions (2006/2007)   10    10 
Master's degree in Banking and Insurance Economics Financial markets (2005/2006)   10    LEZIONE 1
Master's degree in Banking and Insurance Economics Financial markets and Institutions (2005/2006)   10    LEZIONE 2

News for students

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Research groups

Evaluation of banks and other financial intermediaries
The research group, made up of university professors and professionals in the field, wants to link the evaluation profiles to the discipline of prudential supervision, in a broad sense, to the peculiarities of the economic and financial planning of intermediaries, to risk management and to internal control systems, as well as to identify methodologically appropriate and concretely applicable approaches.
Research interests
Topic Description Research area
Knowledge and skills of the personnel involved in the investment advisory service Study of different ways through which ESMA guidelines on knowledge and competences have been adopted by different European countries in a very different way, which have led to highlighting a "non-leveled playing field”, with a complete difference impact on the economics of financial intermediaries (the commercial banks in primis) and on the protection of the final customers. Financial markets
Financial markets
Valuation of asset management companies and investment firms Application of financial criteria (Discounted Cash Flow and Dividend Discount Model) and relative valuation (multiples of stock exchange and comparable transactions) in estimating the value of Italian asset management companies and Asset gathered, divided in different cluster according to their prevalent business. Corporate finance
Corporate finance
The impact of MiFID2 on banks and networks The impact on the economics of banks and networks of financial advisors/tied agents coming from MiFID2 and, in particular, by the regulation on risk assessment models, on cost transparency, on product governance and on different models of advice on investments (independent versus non-independent). Management of financial institutions
Management of financial institutions
Projects
Title Starting date
La nuova disciplina degli intermediari dopo le direttive MiFID 1/1/07
Processi di concentrazione cross border ed intersettoriale degli Intermediari Finanziari in Europa: profili strategico-organizzativi. (2006) 1/1/06




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