Prof.ssa Ana Paula Matias Gama - PhD Research Seminar – “Financial Resilience: Do Financial Capability and Income Inequality Matter?”
April 24 , 2026
Objective: To present conceptual and empirical insights on financial resilience with a focus on capabilities, socioeconomic contexts, and behavioural mechanisms. Topics: Frameworks for measuring financial resilience; Capability, knowledge, and behavioural links; Inequality and household vulnerability; Empirical strategies (regressions, robustness, indicators); Policy implications.
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Prof.ssa Ana Paula Matias Gama - Financial Literacy, Digital Inclusion & Gender Gap
April 23 , 2026
Objective: To explore behavioural aspects of financial literacy, digital confidence, cybersecurity awareness, and gender disparities in financial capability. Topics: Financial literacy dimensions; Behavioural biases and digital anxiety; Digital fraud and cybersecurity literacy; Gender gaps in financial capability and digital adoption; Policy and educational interventions
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Professor DDr. Adamantios Diamantopoulos: SCALE DEVELOPMENT: APPLICATIONS AND CHALLENGES
April 21 and 23, 2016
These seminars build upon and extend the Measurement Principles and Scale Development seminars that took place in November 2025 by (a) providing concrete examples of how scale development and validation is carried out in practice, and (b) illustrating the special challenges faced when creating scales based on a formative (as opposed to a reflective) measurement perspective. The target audience includes doctoral students and academic researchers involved in quantitative empirical research.
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Prof.ssa Ana Paula Matias Gama - FinTech Transformation & SME Financing
April 21 , 2026
Objective: To investigate how FinTech models and digital credit platforms transform SME financing, reduce information asymmetry, and create new funding mechanisms. Topics: Digital credit channels and online scoring models;
Crowdfunding models (reward, lending, equity, donation); FinTech competition with traditional banks; SME adoption of digital financial tools; Information asymmetry and credit rationing.
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AIFIRM - Associazione Italiana Financial Industry Risk Managers . "Geopolitical and Other Risks: A new Era of Risk Management"
April, 17, 2026
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Prof. Massimo De Carolis "Rifeudalizzazione e (dis)ordine cosmico"
March, 18 2026
One of the greatest Italian political philosophers analyzes the growing symbiosis between money and power and the risks for democracy, the market, and the world system
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"Live long and prosper. Predicting corporate crisis through the use of financial, ESG, and social media data with artificial intelligence techniques"
March 12, 2026
March 12, 2026 Faculty of Economics – Graduation Hall, 9:30 AM – 1:00 PM
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Prof. Mario Spremic, Full Professor (tenured) at the Department of Informatics, Faculty of Economics & Business, University of Zagreb, introduced by Prof. Marco Savastano.
March, 10, 2026
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Prof.ssa Sanchez Vidal Maria Eugenia e Prof. Cegarra Leiva David, Università di Cartagena UPCT "The use of Artificial Intelligence in the Human Resource Management".
January, 30, 2026
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