Marco Giorgino
Polytechnic University of Milan

Marco Giorgino is a Professor of Finance and Risk Management at the Milan Polytechnic. Since the 1990’s he has been involved in the areas of corporate finance and the financial markets, with a particular focus on relations between businesses, the capital markets and institutional investors. His principal interests include the valuation and the financial sustainability of businessesV-Finance, the risk and return profiles of listed and non-listed companies and corporate governance and risk management systems as valuation elements for institutional investors and the banks.
He has been published on more than 70 occasions in Italian and international journals.
He has extensive experience as an Independent Director in financial and industrial companies and on the control and supervisory bodies of banking organisations. He has also written for Italian and international newspapers and television programs.