Roberto Bottiglia

foto,  June 20, 2016
Position
Full Professor
Academic sector
ECON-09/B - Financial Markets and Institutions
Research sector (ERC-2024)
SH1_6 - Banking, insurance

SH1_4 - Finance; financial markets

SH1_5 - Corporate finance; international finance

Research sector (ERC)
SH1_4 - Banking; corporate finance; international finance; accounting; auditing; insurance

Telephone
045 802 8224
E-mail
roberto|bottiglia*univr|it <== Replace | with . and * with @ to have the right email address.
Curriculum

Roberto Bottiglia is Full Professor in Banking and finance since 2000.
 
His main research interests are:
•    banks’ strategies
•    banks’ performance
•    banks’ crisis and resolution
•    m&a in the banking industry and structure of major banking groups.
On the research topics listed above he published monographs, book chapters and journal articles.
In 2016-2018 he was member of the Commission for the National Scientific Qualification (Abilitazione Scientifica Nazionale) for the scientific disciplinary sector 13/B4 Banking and Finance.

Modules

Modules running in the period selected: 41.
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 Bank management (2024/2025)   9  eLearning
Master’s degree in Banking and Finance Bank management (2023/2024)   9  eLearning
Master’s degree in Banking and Finance Bank management (2022/2023)   9  eLearning
Bachelor's degree in Economics and Business Project "B-EDUCATION: ideas that count" - 1 cfu (2022/2023)   1   
Bachelor's degree in Economics and Business Project "B-EDUCATION: ideas that count" - 2 cfu (2022/2023)   2   
Master’s degree in Banking and Finance Bank management (2021/2022)   9  eLearning
Master’s degree in Banking and Finance Bank management (2020/2021)   9  eLearning
Master’s degree in Banking and Finance Bank management (2019/2020)   9  eLearning
Master’s degree in Banking and Finance Bank management (2018/2019)   9  eLearning
Master’s degree in Banking and Finance Bank management (2017/2018)   9  eLearning
Master’s degree in Banking and Finance Bank management (2016/2017)   9  eLearning
Master’s degree in Banking and Finance Bank management (2015/2016)   9   
Master’s degree in Banking and Finance Bank management (2014/2015)   9    (lezione 1)
Master’s degree in Banking and Finance Bank management (2013/2014)   9   
Bachelor's degree in Business Administration (Verona) Financial markets and Institutions (2013/2014)   9   
Master’s degree in Banking and Finance Private and corporate banking (2013/2014)   9    MODULO II
Master’s degree in Banking and Finance Bank management (2012/2013)   9   
Bachelor's degree in Business Administration (Verona) Financial markets and Institutions (2012/2013)   9   
Master’s degree in Banking and Finance Bank management (2011/2012)   9   
Bachelor's degree in Business Administration (Verona) Financial markets and Institutions (2011/2012)   9   
Master’s degree in Banking and Finance Bank management (2010/2011)   9   
Master’s degree in Banking and Finance Bank management (2009/2010)   9   
Specialised Degree in the Economics of banks and financial markets Bank management (2008/2009)   5   
Specialised Degree in the Economics of banks and financial markets Bank management (2007/2008)   5   
Master's degree in Banking and Insurance Economics Bank management (2006/2007)   5   
Master's degree in Banking and Insurance Economics Bank management (2005/2006)   5   
Bachelor's degree in International Business Studies (category 17) (Vicenza) Analysis and Coverage of Company Financial Needs (2004/2005)   4   
Bachelor in Market Economics and Brokerage (cat. 17) Bank management (2004/2005)   4   
Master's degree in Banking and Insurance Economics Financial markets (2004/2005)   10    LEZIONE 1
Bachelor in Market Economics and Brokerage (cat. 17) Merchant and Investment Banking (2004/2005)   4   
Bachelor's degree in International Business Studies (category 17) (Vicenza) Analysis and Coverage of Company Financial Needs (2003/2004)   4     
Bachelor in Market Economics and Brokerage (cat. 17) Bank management (2003/2004)   4     
Bachelor in Banking Economics (old system) Credit Company Economics PS (2003/2004)   0     
Masters in Banking and Insurance Economics (cat. 84/S) Economics and Bank Management (advanced) I (2003/2004)   4   
Masters in Banking and Insurance Economics (cat. 84/S) Economics and Financial International Market Techniques II (2003/2004)   4   
Bachelor in Market Economics and Brokerage (cat. 17) Merchant and Investment Banking (2003/2004)   4     
Bachelor in Market Economics and Brokerage (cat. 17) Bank management (2002/2003)   4   
Specialized Degree in Quantitative Methods for Finance ( Cat. 91/S) Corporate finance (2002/2003)   4   
Bachelor in Market Economics and Brokerage (cat. 17) Merchant and Investment Banking (2002/2003)   4     
Bachelor in Market Economics and Brokerage (cat. 17) Bank management (2001/2002)   4     
Bachelor in Market Economics and Brokerage (cat. 17) Merchant and Investment Banking (2001/2002)   4     

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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
Banks’ crisis Analysis of bank crisis: causes and procedures for resolution. BRRD Directive: implementation in Italy and others European countries. Management of financial institutions
Management of financial institutions
Capital management in banks Analysis of the role of capital in the production process of banks. Examination of the existing relationship between capitalization, risk taking capacity and bank profitability. The role of capital in the operational framework of Basel Accords. Management of financial institutions
Management of financial institutions
Banks’ strategy and performance Analysis and evaluation of the banks’ strategy and performance. Management of financial institutions
Management of financial institutions
Projects
Title Starting date
Processi di concentrazione cross border ed intersettoriale degli Intermediari Finanziari in Europa: profili strategico-organizzativi. (2006) 1/1/06
Gli assetti proprietari delle banche quotate 11/1/05
Profili evolutivi nella disciplina e nei controlli dei mercati e degli intermediari finanziari. 1/1/04
I servizi di investimento: analisi comparata del quadro normativo e delle implicazioni gestionali 1/1/04
Il finanziamento dell'edilizia abitativa 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
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




Chair
  • Scientific Committee for the Master's Degree in Private Banking
Istitutional duties

Roberto Bottiglia
Office Collegial Body
Collegio didattico di Banca e finanza - Department Economics
Comitato Scientifico del Master Universitario in Intelligenza Manageriale
member Consiglio dei Corsi di Laurea e Laurea Magistrale con sede a Verona
member Consiglio del Dipartimento di Management - Department Management
Componente del CDA Board of Governors
full prof. representative Giunta del Dipartimento di Management triennio 2024-2027 - Department Management
Gruppo AQ del Corso di laurea magistrale in Banca e finanza - Collegio didattico di Banca e finanza - Department Economics
Personale Docente del Dipartimento di Economia Aziendale
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