ANDREA SIRONI

ANDREA SIRONI

Biographical note

I am a Professor of Banking and Finance and, since November 2022, the President of Bocconi University. I was Rector from 2012 to 2016. Since May 2021 I am President of the Italian Foundation for Cancer Research (AIRC), while in May 2022 I became Chairman of Assicurazioni Generali. Until April 2022 I have been chair of Borsa Italiana, the Italian stock exchange. 

I have held visiting positions at the Research and Statistics Division of the Federal Reserve Board of Governors in Washington, DC, at the Salomon Brothers Center, Stern School of Business (NYU), and at Sciences Po, Paris. In the past, I have been a member of the BoD of the London Stock Exchange Group, of the Intesa SanPaolo Group and of the Unicredit Group. At the beginning of my career, I was a financial analyst at the Chase Manhattan Bank in London.


Selected Publications

Sironi, Andrea
The evolution of banking regulation since the financial arisis: a critical assessment
2018

Iannotta, Giuliano Orlando; Nocera, Giacomo; Sironi, Andrea
The Impact of Government Ownership on Bank Risk
Journal of Financial Intermediation, 2013

Iannotta, Giuliano Orlando; Nocera, Giacomo; Sironi, Andrea
Ownership structure, risk and performance in the European banking industry
JOURNAL OF BANKING & FINANCE, 2007

Resti, Andrea; Sironi, Andrea
Risk Management and Shareholders Value in Banking
John Wiley, New York, 2007

Resti, Andrea Cesare; Sironi, Andrea
The Risk-Weights in the New Basel Capital Accord: Lessons from Bond Spreads based on a Simple Structural Model
Journal of Financial Intermediation, 2007

Resti, Andrea Cesare; Sironi, Andrea
What’s different about loans? An analysis of the risk structure of credit spreads
Banche e geografia - Nuove mappe produttive e metamorfosi del credito, 2006

Altman, Edward; Resti, Andrea; Sironi, Andrea
Loss Given Default: the next Challenge in Credit Risk Management
Risk Books, 2005

Altman, Edward; Resti, Andrea; Sironi, Andrea
The Link Between Default and Recovery Rates: Theory, Empirical Evidence and Implications
Journal of Business, 2005

Altman, Edward; Resti, Andrea; Sironi, Andrea
Default and Recovery Rates in Credit Risk Modeling: A Review of the Literature and Empirical Evidence
Journal of Finance Literature, 2005

Gabbi, Giampaolo; Sironi, Andrea
Which factors affect corporate bonds pricing: empirical evidence from eurobonds primary market spreads?
European Journal of Finance, 2005

Altman, Edward; Resti, Andrea; Sironi, Andrea
Default and Recovery Rates in Credit RiskModelling: A Review of the Literature and Empirical Evidence
Economic Notes, 2004

Sironi, Andrea; C. Zazzara
Applying Credit Risk Models to Deposit Insurance Pricing: Empirical Evidence from the Italian Banking System
Journal of International Banking Law and Regulation, 2004

Sironi, Andrea
Testing for Market Discipline in the European Banking Industry: Evidence from Subordinated Debt Issues
Journal of Money, Credit and Banking, 2003

Sironi, Andrea; C. Zazzara
The New Basel Accord: Implications for Italian Banks
Review of Financial Economics, 2003

Sironi, Andrea
Strengthening Banks’ Market Discipline and Leveling the Playing Field: Are the Two Compatible?
Journal of Banking and Finance, 2002

Saita, Francesco; Sironi, Andrea
Gestione del capitale e creazione di valore nelle banche
Roma, Bancaria Editrice, 2002

Sironi, Andrea
An Analysis of European Banks Subordinated Debt Issues and Its Implications for a Mandatory Subordinated Debt Policy
Journal of Financial Services Research, 2001

Savona, Paolo; Sironi, Andrea
La gestione del rischio di credito: l'esperienza delle grandi banche italiane
Bancaria Editrice, 2000

Sironi, Andrea
Reforming the Italian Financial System: Recent Evolution and Future Prospects
New York University Salomon Center, Occasional Paper, 1994