Courses a.y. 2021/2022
11880 ALM FOR LIFE INSURANCE AND LONG TERM INVESTING
20163 GESTIONE DEI RISCHI E VALORE NELLE BANCHE E NELLE ASSICURAZIONI / RISK MANAGEMENT AND VALUE IN BANKING AND INSURANCE
20636 ALM FOR LIFE INSURANCE AND LONG TERM INVESTING
30027 ECONOMIA E GESTIONE DELLE ISTITUZIONI FINANZIARIE [ECONOMICS AND MANAGEMENT OF FINANCIAL INSTITUTION]
Associate professor of financial markets and institutions at Bocconi University.
Served as Chairman, board member or advisor to global asset managers and investment banks, top tier Italian insurance companies and pension funds, consulting firms, IT companies and family offices.
In order to better understand the business model of the modern investment industry, in April 2017 he received a two years academic leave of absence from Bocconi University and served as a full-time Managing Director at BlackRock Investment Management (UK) LTD, becoming a member of the Italian Executive Committee and head of the Financial Institutions Group and the Institutional Client Business for Italy.
Throughout his career, Mr. Corvino cooperated with several Regulatory and Market authorities. Inter alia, he has been Member of the EIOPA Occupational Pensions Stakeholder Group, participant in the International Decade for Natural Disaster Reduction of the United Nations project and referee for the ESMA Working Paper Series.
Mr. Corvino is associate professor of financial markets and institutions at Bocconi University.
He has been Visiting Professor at the Politecnico Milano, the MIB Trieste school of management and the CEA (now Insurance Europe) Insurance Training Task Force.
Thanks to a research work on how to define the investment strategy for retirement savings, he won (with F. Saita) the "Research Incentives" Award established by the Bocconi University.
Insurance companies, pension funds, asset management, strategic asset allocation, portfolio construction, ALM, capital allocation, risk management, corporate governance, regulation.
Modelling private markets allocation: the need for a consistent cash management strategy, April 2020, forthcoming.
Asset Liability Management: Comparing models in the Italian insurance landscape, (con Matteo Coppola, Lorenzo Fantini, Marco Giunta) The Boston Consulting Group, Dicembre 2014.
Why are insurance compagnies different? The limits of convergenceamong financial institutions, (con A.Beltratti), in Geneva Papers on Risk and Insurance: Issues and Practice, volume 33, Issue 3, July 2008
Potential Drawbacks of Price-based Accounting in the Insurance Sector, (con A. Beltratti)", in Geneva Papers on Risk and Insurance: Issues and Practice, Volume 32, Number 2, April 2007
I prodotti assicurativi gestiti in logica di Constant Proportion Portfolio Insurance, in L. Anderloni (a cura di), Osservatorio sull'innovazione finanziaria 2004, Bancaria Editrice
Applying constant proportion portfolio insurance to guaranteed return investment products: an empirical analysis, (con F. Saita), working Paper Newfin 5/03; Università L. Bocconi, Milano 2003
L'Asset Liability Management nelle imprese di assicurazione sulla vita, (con I. Bozzano, F. Saita, P. Mariani, R. Roberti), Quaderni ISVAP, n. 12, 2001
L'ALM nelle assicurazioni vita: obiettivi, problemi aperti e metodologie di analisi, (con F. Saita), in Diritto ed Economia dell'Assicurazione, 2000
Il risparmio previdenziale, in P.L. Fabrizi (a cura di), in La gestione del risparmio privato, Bancaria Editrice, 2000
L'identificazione del rischio di business interruption, in G. Forestieri (a cura di), La gestione dei rischi di interruzione di attività, Milano, EGEA, 1999
Gli strumenti innovativi di finanziamento dei rischi catastrofali, in G. Forestieri e A. Gilardoni (a cura di) Le imprese e la gestione del rischio ambientale: profili aziendali, giuridici e assicurativi, Milano, EGEA, 1999
La definizione della strategia di investimento nei fondi pensione, (con F. Saita), CH-Lugano/Vezia, Centro di Studi Bancari, 1998
Il prezzo del prodotto assicurativo: un approccio finanziario, WP n. 10 , Cerap, Università Bocconi, 1995; vari capitoli in G. Forestieri (a cura di), Risk management: strumenti e politiche per la gestione dei rischi puri di impresa, Milano, EGEA, 1996