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Ivo Pezzuto

Adjunct Faculty

Linkedin Profile

Education

  • Doctor of Business Administration, Economics & Management with highest Distinction, SMC University, Switzerland (2012)
  • Master of Business Administration, General Management, SDA Bocconi School of Management, Italy (2005)
  • Master of Arts, Economics, SDA Bocconi School of Management, Italy (2004)
  • Bachelor of Science, Business Administration, Marketing, International Business, NYU Stern School of Business, USA (1990)

Areas of Expertise

  • ECONOMICS
  • MARKETING & STRATEGY
  • INNOVATION, DECISION-MAKING & LEADERSHIP
SUBJECT TAUGHT / STUDENT PROJECT MENTOR
  • Global Immersion 2: Global Analysis Course of the Master of Global Business and Global MBA programs
EXPERIENCE

Academic experience

  • Adjunct Faculty of the ‘Global Immersion 2: Global Analysis Course’ for the Master of Global Business and Global MBA programs at SP Jain School of Global Management – Dubai, Mumbai, Singapore and Sydney. (2018 – Present)
  • Professor of Global Economics, Disruptive Innovation and Entrepreneurship, International School of Management, Paris, France (Since 2016)
  • Adjunct Professor of Strategic Management and Business Policy, International Business Management, Business Economics, Economics and Methods of International Trade, Marketing, Business Intelligence, Business Analytics and Data Science, and Strategic Issues in the Luxury Industry at Catholic University of the Sacred Heart, Milan, Italy (Since 2010)
  • Adjunct Professor of “Business Economics: Economics for Managers” (BA, EMBA programs); “International Strategic Marketing” (MIB program); “Risk Management and Stock Market”, "Market (In)efficiency and Current Topics in Banking and Finance" and “International Economics and Globalization" of the European and International Private Banking (EIPB) (Master degree); “Global Trends and Perspective” of the Management et Commerce International Master Program. Tutor of Field Works and Thesis Advisor and Member of the Thesis Defense Committee. (Since 2014)
  • ISTUD Business School, Italy – Professor, Consultant, and Executive Education Trainer of Strategy, Business Models, Corporate Strategy, Economics and Global Competitiveness, and Competitive Advantages, Entrepreneurship, Lean and Corporate Start-ups, Disruptive Innovations (Big Data, Business Analytics, BI, Predictive Analytics, Data Mining, AI, Cognitive Computing, IoT, Machine Learning, Deep Learning, Industry 4.0, FinTech), Scenario Analysis, Marketing Strategies, Pricing Strategies, and Business Economics at the Master in Life Science & Health Care (Since 2004);
    Master in Marketing & HRM (Since 2004); Master in Retail & Sales Management (Since 2016); and Master in Corporate Law (LLM) (Since 2018).
  • Guest Speaker at the ISTUD Executive Development Management Program (since 2014) with keynote speeches on the topic: "Seeing What’s Next: Mastering Scenario Analysis for Effective Scenario Planning using Predictable Models, Behavioural Models, Business Analytics, Big Data, and Macro Strategy Analysis. "
  • Expert in corporate education and in customised executive education programs, internationally recognised “global thought leader” and as futurist and scenarist.

Academic Areas of Interest

  • Global Analysis
  • Global Economics
  • Scenario Analysis
  • Business Economics and Managerial Economics
  • Macro Strategy Analysis
  • Global Trends and Perspectives
  • Global Competitiveness, and Competitive Advantages, Entrepreneurship
  • Economic Policies
  • International Business Strategies
  • Innovative Business Models and Lean Startups
  • Disruptive Innovation
  • Social Progress and Inclusive Growth
  • Digital Healthcare and Disruptive Innovation in Healthcare in the Emerging Markets
  • Governance and Regulation
  • Business Policy and Strategic Management
  • Business Planning and Forecasting
  • Valuation Analysis
  • International Strategic Marketing
  • Risk and Stock Market
  • Systemic Risk
  • Financial Crises and Financial Stability
  • Big Data, Business Analytics, BI, Predictive Analytics, Data Mining, AI, Cognitive Computing, IoT, Machine Learning, Deep Learning, Industry 4.0, FinTech, Blockchain, Digital Payments, Cryptocurrencies and Digital Currencies
  • Sustainability and Renewable Energies
  • Strategic Issues in the Luxury Industry

Corporate/Professional Experience

  • Chief Economist and Senior Advisor at ALEKTOR Capital, Italy, UK, China (Since 2018) Key responsibilities: Global macro strategy analysis and country and industry analysis, M&A advisory and consultancy services, corporate finance and capital growth, international cross-board alliances and partnerships, strategic advisory services, regular contributor to international media and broadcasting networks on macro strategy analysis and scenarios
  • Strategy and Economics Consultant and Corporate Trainer at ISTUD Foundation, Italy (Since 2004) Key responsibilities: Economist, Senior Strategy Consultant and Senior Lecturer
  • Chief Risk Officer and Corporate Trainer at Diners Club Europe, UK/Italy (2001-2003)
  • Head of Product Development and Portfolio Management, American Express, Italy (2000-2001)
  • Experienced Senior Manager and Corporate Trainer, Accenture (1999-2000)
  • Head of Credit and Collection, Credit Policy Officer, Strategic Cost Management Manager, Citibank Italy (1997-1999)
  • Corporate Marketing Manager, Strategic Planning and Control Manager, Credit Risk Manager at FIDIS (Fiat Group Automobiles), Italy (1991-1997)
  • External and Internal Relations, NYU Stern School of Business, New York, USA (1987-1990)

2013

  • Pezzuto, I. (2013). “Predictable and Avoidable. Repairing Economic Dislocation and Preventing the Recurrence of Crisis” Publisher: Routledge.
    This book has been written in collaboration with 22 “Global Thought Leaders” of leading global organisations; e.g. Stanford University, NYU, University of Chicago, Wharton, London School of Economics, IESE, Paris-Sorbonne University, Bocconi University, Financial Times, Bloomberg, Federal Reserve, Oracle, RBS, Intesa Sanpaolo Bank, Unicredit, Barclays Bank, Eurointelligence ASBL, etc.
  • Pezzuto, I. (2019, February). “Balancing the Opportunities and Challenges of the New Era of Globalization with Social Inclusion and Sustainability Goals for All Stakeholders” International Banker Magazine Winter 2019 issue, page. 88-93, Finance Publishing, London, UK
  • Pezzuto, I. (2019). “Globalization 4.0. Juggling with Opportunities and Challenges of the New Era of Globalization" The Global Analyst, an exclusive monthly on Business & Finance, February 2019 Volume 8 Issue 2. IUP Publications, A Division of ICFAI - The Institute of Chartered Financial Analysts of India (ICFAI), India
  • Pezzuto, I. (2019, March). “Turning Globalization 4.0 into a Real and Sustainable Success for all Stakeholders” ICTF Magazine March 2019 issue, pp. 14-20, International Credit and Trade Finance Association, Baltimore, USA

2018

  • Pezzuto, I. (2018, December 28nh) “Overcoming the Challenges of the New Era of Globalization Creating Shared Value” Roubini EconoMonitor LLC, a Joint-Venture Between Roubini Global Economics and Ashmore Media Group, New York, USA

2017

  • Pezzuto, I. (2017, September). “Is the EU Sustainable?”, ICTF World Magazine September 2017 issue, pp. 20-28, International Credit and Trade Finance Association, London, UK
  • Pezzuto, I. (2017, August). “Eurozone Recovery: Is It Sustainable?” The Global Analyst, an exclusive monthly on Business & Finance, Volume 6 Issue 8, August 2017 Issue. IUP Publications, A Division of ICFAI - The Institute of Chartered Financial Analysts of India (ICFAI), India
  • Pezzuto, I. (2017, July 5st). “European Union Recovery – Surprise Economic Story of 2017” Roubini EconoMonitor LLC, a Joint-Venture Between Roubini Global Economics and Ashmore Media Group, New York, USA

2016

  • Pezzuto, I. (2016, December 2nd) “Italian Referendum: What to Expect?” Roubini EconoMonitor LLC, a Joint-Venture Between Roubini Global Economics and Ashmore Media Group, New York, USA
  • Pezzuto, I. (2016, June 27th). “A Trivially Overlooked Brexit Scenario and Its Potential Aftermath in Early 2016.” Roubini EconoMonitor LLC, a Joint-Venture Between Roubini Global Economics and Ashmore Media Group, New York, USA
  • Pezzuto, I. (2016, June 14th). “Venezuela: Crisis in Caracas.” Roubini EconoMonitor LLC, a Joint-Venture Between Roubini Global Economics and Ashmore Media Group, New York, USA
  • Pezzuto, I. (2016, June 14th). “Venezuela: Crisis in Caracas.” The Global Analyst, an exclusive monthly on Business & Finance, Volume 5 Issue 6, June 2016 Issue. IUP Publications, A Division of ICFAI - The Institute of Chartered Financial Analysts of India (ICFAI), India
  • Pezzuto, I. (2016, May 7th). “Ok Atlante, Ma Il Futuro delle Banche Dipende dal Fintech” (“OK the Atlas Fund, But the Future of Banking Depends on Fintech”). Milano Finanza financial newspaper, Publisher: Class Editori, Italy
  • Pezzuto, I. (2016). “Brexit.” Will It or Won’t It: The Big Question Before Britain!" The Global Analyst, an exclusive monthly on Business & Finance, Volume 5 Issue 3, March 2016 Issue. IUP Publications, A Division of ICFAI - The Institute of Chartered Financial Analysts of India (ICFAI), India   
  • Pezzuto, I. (2016). “Fed Bites the Bullet. Implements First Rate Hike in Nearly a Decade” The Global Analyst, an exclusive monthly on Business & Finance, Volume 5 Issue 1, January 2016 Issue. IUP Publications, A Division of ICFAI - The Institute of Chartered Financial Analysts of India (ICFAI), India

2015

  • Pezzuto, I. (2015, December). “What’s next for China and the USA?” ICTF World Magazine December 2015 issue, pp. 28-32, International Credit and Trade Finance Association, London, UK
  • Pezzuto, I. (2015, November). “China and the US Fed: Leading the World Toward Extreme Volatility?” International Banker Magazine Autumn 2015 issue, Finance Publishing, London, UK
  • Pezzuto, I. (2015, September 8th). “Un rialzo dei tassi della Fed dovrebbe filare liscio. Ma forse è più prudente aspettare.” (“The Fed’s Rates Rise Should Go Smoothly. But Perhaps it is More Prudent to Wait”). MF financial newspaper, Publisher: Class Editori, Italy
  • Pezzuto, I. (2015). “Federal Reserve’s Rate Rise. Coming Soon?” The Global Analyst, an exclusive monthly on Business & Finance, Volume 4 Issue 9, September 2015 Issue. IUP Publications, A Division of ICFAI - The Institute of Chartered Financial Analysts of India (ICFAI), India
  • Pezzuto, I. (2015, September). “Grexit? Implications for Creditors”, ICTF World Magazine September 2015 issue, pp. 16-19, International Credit and Trade Finance Association, London, UK
  • Pezzuto, I. (2015) “Grexit”: Avoided For Now! The Global Analyst, an exclusive monthly on Business & Finance, Volume 4 Issue 8, August 2015 Issue. IUP Publications, A Division of ICFAI - The Institute of Chartered Financial Analysts of India (ICFAI), India    
  • Pezzuto, I.; Milanese, D. (2015, July 7th) “Grécia Nunca Conseguirá Pagar Dívida Sem Alívio Financeiro, Diz Especialista” (“Greece Might Never Be Able to Pay Off Debt Without Financial Relief, Expert say”), Bloomberg Business, Brazil
  • Pezzuto, I. (2015). “United States. Is A Slowdown in the Offing?” The Global Analyst, an exclusive monthly on Business & Finance, Volume 4 Issue 7, July 2015 Issue. IUP Publications, A Division of ICFAI - The Institute of Chartered Financial Analysts of India (ICFAI), India

2013

  • Pezzuto, I. (2013). “Siria: Una guerra destabilizzerebbe i mercati” (“Syria: A War Would Destabilize Markets”), MSN News, Finanza (Finance), September 2013, Italy

2012

  • Pezzuto, I.; Milanese, D. (2012, July 16th). “Libor: escândalo tem impacto e deve gerar processos contra bancos” (“Libor: The Scandal Has a Global Impact and Should Generate Legal Actions Against Banks”), Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2012, June 25th). “UE deve ter cúpula modesta com estímulo ao crescimento e início de união bancária” (“EU Summit Should Be Modest With Growth Stimulus and the Start of the Banking Union”), Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2012, January 31st). “Perspectiva de mais liquidez do BCE aguça tomada/risco nos mercados” (“Prospect of More ECB's Liquidity Sharpens Exit/Market Risk”), Agência Estado, Brazil

2011

  • Pezzuto, I.; Milanese, D. (2011, December 4th). “Recapitalização de bancos europeus trará venda de ativos pelo mundo” (“Recapitalization of European Banks Will Lead to the Sale of Assets Around the World”), Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2011, November 11th). “BCE: Linha dura com a Itàlia, Draghi ‘seduziu’ a Alemanha” (“ECB: Hard Line With Italy, Draghi ‘Seduced’ Germany”), Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2011, November 2nd). “Possível ajuda à Europa devolve papel central ao G-20” (“Possible Aid to Europe Returns a Central Issue on G20”), Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2011, November 6th). “Cúpula deste domingo vai adiar uma solução para a crise” (“Summit This Sunday Will Defer A Solution for the Crisis”), Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2011, November 6th). “BRICS afinaram posições para ‘missão impossível’”. (“BRICS Tuned Positions for 'Mission Impossible'”), Agência Estado, Brazil
  • Pezzuto, I., Milanese, D. (2011, September 16th). “Bancos europeus precisarão de resgate como nos EUA, dizem analistas” (“European Banks Will Need a Bailout”), Brazil
  • Pezzuto, I.; Milanese, D. (2011, April 10th). “Especial: a acidentada trajetória do BCE em tempos de crise” (“Special: the Rugged Path of the ECB in Times of Crisis”) Agência Estado, Brazil

2010

  • Pezzuto, I.; Milanese, D. (2010, September 14th). “Exterior faz pausa para tomar fôlego antes de dados nos EUA” (“Exterior Pause for Breath Before U.S. Data”) Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2010, July 6th). “Taxação na Europa vai mexer com atividades dos bancos no exterior” (“Taxation in Europe Progresses Along With Activities of the Banks in the Exterior”) Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2010, June 25th). “Embate entre Eua e Europa sobre estratégia Fiscal marcará G-20”, (“Shock Between USA and Europe on Fiscal Strategy Will Mark G-20”), Broadcast - Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2010, June 25th). “Taxação dos bancos também será tema relevante do G-20”, (“Taxation of Banks Will Be Also A Relevant Topic of the G-20”), Broadcast - Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2010, May 19th). “Aperto da Alemanha reflete movimento político contra especulação” (“Squeeze of Germany reflects political movement against speculation”), Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2010, January 26th) “Davos discute riscos e formato da economia pós-crise”, (“Davos Addresses Issues Related to Risks and the Post-Crisis Economy”), Agência Estado, Brazil
  • Pezzuto, I. (2010, January 18th) “The Miracle Still Goes On For Someone”, published on “Baseline Scenario” MIT Prof. Simon Johnson’s economics blog (Dr Simon Johnson is Senior Fellow at the Peterson Institute for International Economics in Washington, DC, and former IMF Chief Economist and Director of its Research Department.), USA

2009

  • Pezzuto, I., Milanese, D. (2009). “O que acontece após o fim”, (“What Happens After the End”), AE Investimentos Magazine n°25, April issue, 2009, Brazil
  • Pezzuto, I.; Milanese, D. (2009, March 12th). “Para especialistas, Brasil levará preocupação com protecionismo” (“G-20: For Experts, Brazil Will Have Concerns With Protectionism”), Agência Estado, Brazil
  • Pezzuto, I.; Milanese, D. (2009, March 12th). “Sob pressão, reunião do G-20 corre risco de desapontar expectativas” (“Under Pressure, the G-20 Meeting is At Risk of Expectations Disappointment”), Agência Estado, Brazil
  • Pezzuto, Ivo (2009). “Governments' Interventions, Guarantees, and Fiscal and Monetary Policies Are Certainly Helping to Restore Hope and Trust in the Banking and Financial Markets”, Chartered Financial Analyst magazine, The ICFAI University Press - India, March issue 2009

2008

  • Pezzuto, I. (2008). “Miraculous Financial Engineering or Toxic Finance? The Genesis of the U.S. Subprime Mortgage Loans Crisis and its Consequences on the Global Financial Markets and Real Economy.” Published on the SMC Working Paper Series Issue 12/2008. This paper is listed among SSRN's All Time Top Ten download list for numerous journals related to Economics and Finance topics since 2009.
  • Pezzuto, I. (2008). “Genesi della crisi dei mutui subprime negli USA e possibile evoluzione” (“Genesis of the US Subprime Mortgage Loans Crisis and Possible Evolution”), Captha Business School publications. Reprint in Italian of a short version of the working paper published by the SMC University in 2008, Switzerland
  • Pezzuto, Ivo (2008). “Rethinking The Sales and Marketing Strategy” – ESE Newsletter, January 2008 Issue, Italy

2002

  • Pezzuto, Ivo, (2002) “Banking and CRM” Banca Virtuale Europea publications

Contributions to Articles

2019

  • Constable, S. (2019, June 10). “How Elizabeth Warren's Weak-Dollar Plan Will Crash The Stock Market” Published online on Forbes.com, USA
  • Constable, S. (2019, May 3). “The Three Fs of Innovation” Published online on Korn Ferry Institute Reports & Insights, Korn Ferry, and on the printed issue of the KFI magazine.
  • Constable, S. (2019, January 17). “Barron’s: Battered British Defense Stock Will Mount New Charge” Published online on Barron’s.com.

2018

  • Constable, S. (2018, November 28). “The Chart That Explains GM's Woes Better Than Blaming Trump” Published online on Forbes.com, USA
  • Constable, S. (2018, October 5). “Barron’s: Italian Bonds Are Cheap — but for Risk Takers Only” Published online on Barron’s.com
  • Constable, S. (2018, August 28). “Lessons on Borrowing…$200 Million at a Time” Published online on Korn Ferry Institute Reports & Insights, Korn Ferry, and on the printed issue of the KFI magazine.
  • Constable, S. (2018, July 23). “Globalization Ain't Dead Yet” Published online on Forbes.com, USA
  • Anderson, K. (2018, June 6). “In Spain, Italy: Surviving a Void” Published online on Korn Ferry Institute Reports & Insights, Korn Ferry, and on the printed issue of the KFI magazine.
  • Hawkes, A. (2018, June 2). “Market Panic Sparked by Italy's Political Turmoil is Not Over Year, Economists Warn” Published online on This is Money.co.uk (Daily Mail)
  • Durden, T. (2018, June 3). “As Good As Gold: Turkey Uses Bullion To Try To Stabilize Its Economy” Published Online on ZeroHedge.com/ABC Media, LTD.
  • MedyaTurk (2018, June 1). “La Turquie Utilise l’Or Exactement de la Façon Dont il Faudrait l’Utiliser” (“Turkey Uses Gold Exactly the Way It Should be Used”), Published online on MedyaTurk.
  • Constable, S. (2018, June 1). “Good as Gold: Turkey Uses Bullion to Stabilise its Economy” Published online on Middle East Eye
  • Constable, S. (2018, February 8). “The EU's Banking Ruse to Create a United States of Europe” Published online on PJMedia.com, USA

2017

  • Constable, S. (2017, December 19). “U.K. Deal With the EU May Help British Stocks” Published online on U.S. News & World Report (Money), USA
  • Constable, S. (2017, December 16). “Brexit-Lite Comes with Economic Pitfalls for Britain” Published online on PJMedia.com, USA
  • Constable, S. (2017, October 27). “More Catalonias to Come: Spain a Symptom of EU Economic Structure” Published online on PJMedia.com, USA
  • Constable, S. (2017, October 16). “A Race to the Bottom in Britain as Parties Offer Plans for Housing Crisis” Published online on PJMedia.com, USA
  • Constable, S. (2017, September 27). “Despite Legislative Setbacks, Trump Winning War on Regulations” Published online on PJMedia.com, USA

2016

  • Constable, S. (2016, December 13). “What Italy's Big Vote Means for Investors” Published online on U.S. News & World Report (Money), USA
  • Sunderland, R. (2016, November 21). “The Other PM Set to Lose His Job After Calling a Referendum: Italy's December Vote Spells Trouble for Matteo Renzi” Published online on This is Money.co.uk (Daily Mail)
  • Constable, S. (2016, October 23). “Is Longevity Insurance Too Risky?” Published online on The Wall Street Journal (Markets, Your Money, Journal Reports: Wealth Management), USA
  • Constable, S. (2016, September 11). “Are Investors More or Less Willing to Take on Risk After a Big Money Loss?” Published online on The Wall Street Journal (Markets, Your Money, Journal Reports: Wealth Management), USA
  • Blavy, R. (2016, June 30). “Navigating Through Brexit” Published online on the blog ‘Warning Signals/Crisis Economics’, University Paris Dauphine, France
  • Peveraro, S. (2016, March 5th). “Non-Performing Loans? They are all SMEs’ Loans”, published on Milano Finanza. Italy

2015

  • Totaro, L., Silver, V. (2015, July 23rd). “Italy Leans While Greece Tumbles”, published on Bloomberg Businessweek. USA.

Conference Papers Presented

2018

  • Pezzuto, I. (2018, June 25th). Speaker at ISTUD Business School Executive Development Programme 82th edition. Title of the presentation: “Seeing What’s Next: Applied Scenario Planning to Macro Strategy Analysis.”

2017

  • Pezzuto, I. (2017, November 8th). Keynote Speaker at TRADING MILAN International Conference organized by the London-based Global Investor Group, Borsa Italiana (The Italian Stock Exchange), CACEIS - the asset servicing banking group of Crédit Agricole, and Eurex Exchange - one of the world’s leading derivatives exchanges. Title of the keynote address: “Italian Economy’s Outlook and Challenges in 2018 and Beyond and the Global Scenario”
  • Pezzuto, I. (2017, June 22th). Speaker at ISTUD Business School Executive Development Programme 81th edition. Title of the presentation: “The Italian Economic Outlook in the European and Global Economic and Geopolitical Environment”
  • Pezzuto, I. (2017, May 15th). Keynote Speaker at ICTF's (The Association of International Credit and Trade Finance Professionals) Krakow Conference, Poland, dated 14 to 16 May 2017. Title of the presentation: “Global Economic Outlook: BREXIT, Banking Crisis in Italy, Geopolitical Developments in Europe and elsewhere, with forthcoming elections in France and Germany and the first four months of the Trump administration.”
  • Pezzuto, I. (2017, January 25th). Speaker at ISTUD Business School Executive Development Programme 80th edition. Title of the presentation: “Global Economic Outlook and Scenarios: Opportunities and Challenges”

2016

  • Pezzuto, I. (2016, February 25th). Keynote Speaker at TRADINGSCREEN Milan Buy Side Trading Forum in Milan (Italy). Title of the presentation: “What’s Next: Global Market Analysis”
  • Pezzuto, I. (2016, January 28th). Keynote Speaker at SAMSUNG and PHONETICA Conference in Milan (Italy) titled “IGNOVATION”. Title of the presentation: “Global Markets Scenarios, and Innovation”
  • Pezzuto, I. (2016, January 27th). Keynote Speaker at ISTUD Business School Executive Development Programme 78th edition. Title of the presentation: “Global Competitiveness, Global Markets Scenarios, and New Business Models”

2015

  • Pezzuto, I. (2015, June 29th). Keynote Speaker at Formaper’s Conference (Training Agency of the Milan Chamber of Commerce, Industry, Craft and Agriculture) on the topic “New Skills for Business Competitiveness. What Makes the Difference in a Changing World?” Title of the Keynote speech: “Global Scenarios and New Business Models”
  • Pezzuto, I. (2015, May 14th). Keynote Speaker at ISTUD Business School Executive Development Programme 77th edition. Title of the presentation: “Economic Recovery, Shock Therapies and Some Potential Side Effects”

2014

  • Pezzuto, I. (2014, November 13th). University of Pisa Department of Economics and Management, Italy. Presentation as Keynote Speaker of the book “Predictable and Avoidable. Repairing Economic Dislocation and Preventing the Recurrence of Crisis”
  • Pezzuto, I. (2014, October 20th). Keynote Speaker at ICTF's (The Association of International Credit and Trade Finance Professionals) Prague Conference dated 19 to 21 October 2014. Title of the presentation: “Predictable and Avoidable: Lessons Learned from the Recent Financial Crises and How to Help Prevent the Next One”
  • Pezzuto, I. (2014, May 14th). Keynote Speaker at ISTUD Business School Executive Development Programme 75th edition. Title of the presentation: “Market Risks, Uncertainty, Predictive Analytics”
  • Pezzuto, I. (2014, October 31th). Keynote Speaker at ISTUD Business School Executive Development Programme 76th edition. Title of the presentation: “Understanding the 2008 Global Financial Crisis: A Behavioral Economics Perspective”

2012

  • Pezzuto, I. (2012, May 24th). International Conference on International Competition in Banking: Theory and Practice organized by the Ukrainian Academy of Banking of the National Bank of Ukraine in Sumy on May 24–25, 2012. Presentation as Keynote Speaker Keynote Speaker of plenary session of the of the paper: “Miraculous Financial Engineering or Toxic Finance? The Genesis of the U.S. Subprime Mortgage Loans Crisis and its Consequences on the Global Financial Markets and Real Economy.” SMC University 2008 Working Paper, ISSN 1662-761X (2008) available SSRN

Chapters in Books

2010

  • Pezzuto, I. (2010). “Miraculous Financial Engineering or Legacy Assets?” in Robert W. Kolb (Ed.), “Lessons from the Financial Crisis: Causes, Consequences, and Our Economic Future” (Chapter 16). John Wiley & Sons, Inc. USA

Conferences & Workshops

  • 2019: Member of the Scientific Committee of the Virtus Global Center for Corporate Governance’s International Conference on “Corporate Governance, Financial Reporting and Tax Systems,” Wrocław, Poland; May 23-24, 2019
  • 2018: Member of the Scientific Committee of the Scientific & Paper Review Committee for the Global Conference on Business, Hospitality and Tourism Research (GLOSEARCH). October 2-5, 2018 in Ho Chi Minh City, Vietnam, hosted by Hoa Sen University, Vietnam.
  • 2017: Member of the Scientific Committee of the Scientific & Paper Review Committee of the Global Conference on Business and Economics (GLOBE). GLOBE Conferences are organized by Association of North America Higher Education International (ANAHEI) and sponsored by University of South Florida Sarasota-Manatee, Florida, USA. Awarded the Certificate of Excellence in Reviewing (CER) for the outstanding contribution to the 2018 Global Conference on Business and Economics.
  • 2015: Member of the Scientific Committee of the "CREA.COM" Project – “Creatività e Competenze per il Cambiamento" (“Creativity, New Competences and Capabilities for the Changing Organizations”) of Formaper (Training Agency of the Milan Chamber of Commerce, Industry, Craft and Agriculture)

Awards & Recognition 

  • 2019: Awarded by the “Journal of Governance and Regulation” (p-ISSN - 2220-9352, e-ISSN-2306-6784) a Certificate of Excellence as Reviewer. 
  • 2018: Awarded by GLOBE – Global Conference on Business and Economics of the ANAHEI (Association of North America Higher Education International) the Certificate of Excellence in Reviewing (CER) for the outstanding contribution to the 2018 Global Conference on Business and Economics.
  • 2017: Awarded by the “Journal of Governance and Regulation” (p-ISSN - 2220-9352, e-ISSN-2306-6784) a Certificate of Reviewer Activity Appreciation for the “distinguished professional qualification which added significant value to the review process of the journal.”
  • 2016-Present: Featured economist on https://leaders.economicblogs.org among the Anglophone Economic Leaders. Personal page available at the following link: https://leaders.economicblogs.org/author/ivo-pezzuto/
  • 2000-Present: “Professor of the Year” for scoring consistently in the top 5 percent of students’ evaluations.
  • 2006: SMC University, Switzerland. Awarded a full DBA scholarship in Business Administration.
  • 2004: SDA Bocconi School of Management, Italy. Member of the winning team of the marketing simulation game (MBA program).
  • Since 2009: Author’s papers are listed in the SSRN's All Time Top Ten download list for numerous journals related to Economics and Finance topics and since 2016 are featured on Nouriel Roubini’s EconoMonitor.

Membership

Membership of Editorial Boards and Review Process

  • 2019-Present: Member of the Editorial Board of the Journal “Risk Governance and Control: Financial Markets and Institutions”. Sumy, Ukraine
  • 2019-Present: Member of the Editorial Board of the Journal of Global Business Insights (JGBI). University of South Florida, USA
  • 2017-Present: Member of the Advisory Board of the Virtus Global Centre for Corporate Governance, Sumy, Ukraine
  • 2017-Present: Member of the Editorial Board of the ISM Journal of International Business at the International School of Management, Paris, France
  • 2017-Present: Member of the Editorial Board of the Journal of IUP Journal of Entrepreneurship (A Division of ICFAI - The Institute of Chartered Financial Analysts of India (ICFAI), India)
  • 2017-Present: Member of the Editorial Board of the Journal of Financial Markets, Institutions and Risks (FMIR)
  • 2015-Present: Member of the Editorial Board of the Journal of Business and Sustainability (International Scientific Journal), Canadian Centre of Science and Education
  • 2015-Present: Member of the Advisory Board of the Journal of Governance & Regulation (International Scientific Journal), Publishing House Virtus Interpress, Sumy, Ukraine
  • 2015-Present: Member of the Advisory Board of the magazine The Global Analyst (IUP Publications, A Division of ICFAI - The Institute of Chartered Financial Analysts of India (ICFAI), India)

Media Appearances

  • Media, Social Media, and Public Relations Expertise
    Regular contributor, keynote speaker, and thought leader/public speaker since 2014 for leading international financial media agencies (e.g. CNBC, Forbes, Wall Street Journal, US News & World Report, Bloomberg, Business Week, International Banker magazine, The Global Analyst magazine, Barron's, BBC Radio, RAI Economia, etc.)

2020

2019

  • Pezzuto, I. (2019, March 27th). CNBC. TV Interview on the following topic: “Economic Slowdown and Inverted Yield Curves in the US Bond Market and in Other International Markets: What to Expect for Global Economic Growth, Corporate and Sovereign Debt Sustainability, and Financial Stability? What Additional Tools Can the European Central Bank Still Use to Tackle the Challenge of Sagging Eurozone Core Inflation?”

2018

  • Pezzuto, I. (2018, November 30th). CNBC. TV Interview on the following topic: “Economic Outlook for Global Economy in 2019; Likely Scenario for the Monetary Policy of the US Federal Reserve Bank; Brexit Scenario; Likely end of Italy’s Budget Row”
  • Pezzuto, I. (2018, November 12th). CNBC. TV Interview on the following topic: “Economic and Geopolitical Scenario in USA after the Mid-Term Elections of November 2018”
  • Pezzuto, I. (2018, November 1st). CNBC. TV Interview on the following topic: “USA Economy Outlook One Week Before the Mid-Term Presidential Election and the Forward Guidance of the Federal Reserve Bank on Rate Hikes”
  • Pezzuto, I. (2018, October 26th). Radio Interview with Piazza inBlu (Italian Bishops' Conference of Radio Agency) on the topic of the “European Commission’s Rejection of the Italian Government 2019 Fiscal Plan and on the Warning of Mario Draghi (President ECB) on the Risk of Rising Italian Bonds Yields on the Economic Growth of the Country and its Banks’ Financial Stability”  
  • Pezzuto, I. (2018, October 26th). CNBC. TV Interview on the following topic: “The Impact of the 2019 Italian Fiscal Plan on Financial Markets; The EU Rejection of the Italian Fiscal Plan; The Impact of the Rising Italian Bond Yields; The Outlook of the ECB’s Upcoming Monetary Policies”
  • Pezzuto, I. (2018, August 24th). CNBC. TV Interview on the following topic: “US Economy Outlook and the Federal Reserve Bank’s Next Move on the Monetary Policy After the Jackson Hole Symposium: Scenarios and Investment Decisions.”
  • Pezzuto, I. (2018, July 10th). CNBC. TV Interview on the following topic: “Global Scenarios and Potential Risks related to President Trump’s Protectionist Measures and a Potential Escalation of the Trade War with China; Scenarios on Italian Banking and the Future of the European Banking Union project; Brexit Scenario; Outlook for the EU and Germany; Italian Government and its Economic Policies.”
  • Pezzuto, I. (2018, May 30th). CNBC. TV Interview on the following topic: “Italian Political Crisis in 2018 and Euro Area Potential Systemic Risks: Economic Outlook and Potential Challenges.”
  • Pezzuto, I. (2018, April 19th). CNBC. TV Interview on the following topic: “Potential Impact to Financial Stability and Economic Growth of President Trump’s Protectionist Policies, Aggressive Expansionary Fiscal Policies and Deregulations; Italy’s Economic Outlook in 2018 and Political Uncertainty; Oil and Commodities’ Market Outlook; European Union Reform: What to Expect?”
  • Pezzuto, I. (2018, March 26th). CNBC. TV Interview on the following topic: “Likely Scenarios and Potential Consequences on World’s Economies of President Donald Trump’s Protectionist Trade Policies.”
  • Pezzuto, I. (2018, March 8th). CNBC. TV Interview on the following topics: “What Impact Will President Donald Trump’s Tariff Order on Metals Have on International Economies, Trade, and International Relations?” “Is It Just a Tough and Unilateral Approach to International Trade Negotiations or a Long-term Trade Policy?”
  • Pezzuto, I. (2018, February 27th). CNBC. TV Interview on the following topics: “What to Expect from the Monetary Policy of New Federal Reserve Chair Jerome Powell? Will Donald Trump’s Fiscal Policy Generate Robust Growth, Improvements in Productivity, and Increases in the Aggregate Demand?” “What to Expect from the Upcoming Italian Political Elections of March 4th, 2018? How Will Financial Markets React to a Potential Political Uncertainty and Instability?”
  • Pezzuto, I. (2018, February 15th). CNBC. TV Interview on the topic: “US Economic Outlook: What to Expect on Volatility, Inflation, Economic Fundamentals, Debt Ceiling, Financial Markets Valuations and Corrections, Commodity and Currency Markets, and Monetary Policy and Fiscal Policy.”

2017

  • Pezzuto, I. (2017, December 6th). CNBC. TV Interview on the topic: “Global Economic Outlook for 2018.”
  • Pezzuto, I. (2017, November 17th). CNBC. TV Interview on the topic: “Expectation about President Donald Trump’s Tax Reforms (Supply-side Economic Policies), Deregulation, Fiscal Policy on the US Economy, and the Role of the Federal Reserve on Expected Rate Rise and Balance Sheet Unwinding.”
  • Pezzuto, I. (2017, September 11th). CNBC. TV Interview on the topic: “Expectation on the growth trend of Italy’s Industrial Production and Economic Recovery; Inflation Expectations and Fed’s Monetary Policy in the US; Global Economic Trends; Expectations on Foreign Exchange Volatility and VIX.”
  • Pezzuto, I. (2017, August 22th). CNBC. TV Interview on the topic: “How likely is a Tapering in the Eurozone in October 2017? Jackson Hole: What to Expect from the Next Fed’s Moves?  What Could be the Short-Term and Long-Term Consequences of Quantitative Easing on Europe, and in Particular, on the Italy? Great Wall Motor (GWM), China’s Largest Privately-Owned Automaker, Expressed Interest in FCA’s Acquisition and Global Aspirations: Will Protectionism Prevail?”    
  • Pezzuto, I. (2017, August 16th). CNBC. TV Interview on the topic: “Global Macro Analysis and Scenarios.”
  • Pezzuto, I. (2017, August 2nd). CNBC. TV Interview on the topic: “Analysis on the European and Italian Banking Industry Recovery and on the Potential Solution for Italian shipbuilder Fincantieri's blocked takeover bid for STX France shipyards due to France’s Intention to Defend Strategic National Industries.”
  • Pezzuto, I. (2017, July 11th). CNBC. TV Interview on the topic: “European Ecofin Council Guidelines on Banking Industry Reforms and Harmonized Resolution Mechanisms.”
  • Pezzuto, I. (2017, July 4th). CNBC. TV Interview on the topic: “Italian Banks Crisis Resolution (Venetian Banks and MPS Bank) and Global Economic Scenarios (China, USA, Russia, and Central Banks Policies.”
  • Pezzuto, I. (2017, June 20th). CNBC. TV Interview on the topic: “Analysis on the Italian Government Spending Review.”
  • Pezzuto, I. (2017, May 19th). CNBC. TV Interview on the topic: “Outlook on Trumponomics, Fed Policy, and Political Risk; Brazil Economy Outlook and Political Risk; ECB’s Potential Tapering and Eurozone Economy and Inflation Recovery”
  • Pezzuto, I. (2017, May 3th). CNBC. TV Interview on the topic: “ECB Monetary Policy; Outlook on the US Economy the Fed’s Next Steps on Policy Normalization; How Successful is Trumponomics So Far? (first 100 days); What’s the Future of Alitalia?”
  • Pezzuto, I. (2017, April 5th). CNBC. TV Interview on the topic: “France Political Election and Financial Markets Expectations; President Trump Economic and Trade Policies; ECB’s Monetary Policy on QE; Oil Market Updates; The Effects of the Brexit Decision”
    • Pezzuto, I. (2017, February 6th). CNBC. TV Interview on the topic: “EU and Eurozone Resilience and Political Risk in 2017”
    • Pezzuto, I. (2017, January 3rd). CNBC. TV Interview on the topic: “2017 Global Economic Outlook: What to Expect?”

2016

  • Pezzuto, I. (2016, December 22nd). CNBC. TV Interview on the topic: “Monte dei Paschi di Siena (MPS) and the Italian Banking Crisis: What to Expect?”
  • Pezzuto, I. (2016, December 15th). CNBC. TV Interview on the topic: “Fed’s Decision to Hike Rates in December 2016; Additional Hikes Expected in 2017; and Donald Trump’s Economic Policy (Trumpnomics): 2017 Global Market Outlook
  • Pezzuto, I. (2016, November 24th). BBC Radio 4 and BBC Worldwide. Radio Interview Program on the topic “Italian Banking Crisis.”
  • Pezzuto, I. (2016, November 11th). CNBC. TV Interview on the topic: “Global Economic Outlook and Scenario After Donald Trump’s Appointment as President of the United States of America.”
  • Pezzuto, I. (2016, November 10th). RAI Economia (Italian National TV Network Economics Channel). TV Interview on the topic “What to Expect on Economic Policies and Global Trade Agreements from the newly Appointed US President, Donald Trump? (Trumponomics)”
  • Pezzuto, I. (2016, October 6th). CNBC. TV Interview on the topic: “ECB’s Ultra-Accommodative Monetary Policy and on the US Economy Outlook and its Forthcoming Fiscal and Monetary Policies, following the 2016 Presidential Election.”
  • Pezzuto, I. (2016, August 24th). CNBC. TV Interview on the topic “Global Markets Scenarios: Brexit, Oil Industry Analysis, Monetary Policy of Major Central Banks and 2016 Jackson Hole’s policy messages, Economic Growth Outlook of Major Market.”
  • Pezzuto, I. (2016, July 12th). CNBC. TV Interview on the topic: “Global Markets Scenarios: Financial Stability, Crisis Resolutions Options (Bail-in versus Bail-out), Systemic Risks, and European Banking Union; Geopolitical and Economic Scenarios After “Brexit” and Before the US Presidential Election.”    
  • Pezzuto, I. (2016, May 25th). CNBC. TV Interview on the topic: “European Banks Non-Performing Loans and Potential Comprehensive Solutions for the Enhanced Baking Industry Stability. Financial Aids and Public Debt Relief for Greece. The New Proposals to Avoid the Risk of a Potential “Grexit” Scenario”
  • Pezzuto, I. (2016, April 22nd). CNBC. TV Interview on the topic: “Global Economic Outlook and Global Markets Scenarios Markets Scenario: The Central Banks Monetary Policy Decisions; Government’ Fiscal and Structural Policies; the Oil and Commodity Markets, and the Currency Markets”
  • Pezzuto, I. (2016, April 15th). CNBC. TV Interview on the topic: “Global Economic Outlook and Global Markets Scenarios Markets Scenario: China’s Economic Outlook, the Global Oil and Commodity Markets, and the Currency Markets”
  • Pezzuto, I. (2016, March 10th). RAI Economia (Italian National TV Network Economics Channel). TV Interview on the topic “The Collapse of Oil Price: Here is What's Behind” (Il Crollo del Prezzo del Petrolio: Ecco Cosa c`è Dietro).
  • Pezzuto, I. (2016, March 9th). CNBC. TV Interview on the topic: “Global Economic Outlook and Global Markets Scenarios Markets Scenario: The Central Banks Monetary Policy Decisions; Government’ Fiscal and Structural Policies; the Oil and Commodity Markets, and the Currency Markets.”

2015

  • Pezzuto, I. (2015, November 27th). CNBC. TV Interview on the topic: “Investment Portfolio Decisions, Central Banks Monetary Policies, and 2016 Global Markets Scenario.”
  • Pezzuto, I. (2015, September 29th). CNBC. TV Interview on the topic: “Investment Analysis and Portfolio Management Decisions: Global Markets Scenarios.”
  • Pezzuto, I. (2015, September 17th). RAI Economia (Italian National TV Network Economics Channel). TV Interview on the topic “Interest Rates, and the Chinese Economy. What Should We Expect?
  • Pezzuto, I. (2015, August 26th). Global Debate WISDOM of NHK (NHK Global Media Services, INC, the Japanese public broadcaster). TV Interview on the topic: “US Monetary Issues, The Global Economy, and the Sharp Correction of the Chinese Stock Market in the Summer 2015”.
  • Pezzuto, I. (2015, July 16th). CNBC. TV Interview on the topic: “Greece is On the Verge of Collapse”
  • Pezzuto, I. (2015, July 9th). RAI Economia (Italian National TV Network Economics Channel). TV Interview on the topic “Grexit”: Will Greece exit the Eurozone?
  • Pezzuto, I. (2015, June 18th). CNBC. TV Interview on the topic: “Greece and the US Interest Rates: Two Critical Decisions of 2015”
  • Pezzuto, I. (2015, May 4th). RAI Economia (Italian National TV Network Economics Channel). TV Interview on the topic “Italy: Macroeconomic Analysis and Impact of Structural Reforms”
  • Pezzuto, I. (2015, April 8th). CNBC. TV Interview on the topic: “What Next With the Fed and ECB’s Monetary Policies and the Ongoing Greek Crisis”
  • Pezzuto, I. (2015, February 26th). RAI Economia (Italian National TV Network Economics Channel). TV Interview on the topic “Greece: What is The Future of Greece in the Eurozone?”
  • Pezzuto, I. (2015, February 26th). RAI Economia (Italian National TV Network Economics Channel). TV Interview on the topic “Effects of the Quantitative Easing in the Eurozone””
  • Pezzuto, I. (2015, February 25th). CNBC. TV Interview on the topic: “Dr. Ivo Pezzuto' s Expectations on the ECB's QE decision and the Greek Crisis.”
  • Pezzuto, I. (2015, January 20th). CNBC. TV Interview on the topic: “Dr. Ivo Pezzuto' s Expectations on the ECB's Next Move and Global Economic Outlook.”

2014

  • Pezzuto, I. (2014, December 2nd). CNBC. TV Interview on the topic: “Draghi at the Crossroad and the Fed’s Decision on Interest Rates: Interview with Professor Ivo Pezzuto”
  • Pezzuto, I. (2014, November 12th). CNBC. TV Interview on the topic: “Investment Analysis and Global Markets Outlook”
  • Pezzuto, I. (2014, June 11th). CNBC. TV Interview on the topic: “Economic and Geopolitical Risks in the Eurozone: Prof. Pezzuto’s Outlook”
  • Pezzuto, I. (2014, May 28th). Radio Italia Anni 60 Emilia Romagna (Zarathustra Show). Interview on the topic: “Pros and Cons of the Austerity Measures and Structural Reforms. Future of the Euro Zone”
  • Pezzuto, I. (2014, May 19th). CNBC. TV Interview on the topic: “European Parliament 2014 Elections and the Future of the Euro Zone”
  • Pezzuto, I. (2014, March 26th). CNBC. TV Interview on the topic: “Financial Markets are Expecting Additional Stimuli From the ECB. Are There Risks of Asset Bubbles?”
  • Pezzuto, I. (2014, March 12th). CNBC. TV Interview on the topic: “Dodd-Frank Act and the Limits of the New Financial Regulation in the USA and Eurozone”
  • Pezzuto, I. (2014, March 6th). CNBC. TV Interview on the topic: “Will the ECB Measures Help Revamp the Real Economy?”
  • Pezzuto, I. (2014, February 13th). CNBC. TV Interview on the topic: “The Italian Banking System and the Bad Bank Project”
  • Pezzuto, I. (2014, January 24th). CNBC. TV Interview on the topic: “Dr. Pezzuto How Did You Predict in Your Paper the Eurozone Debt Crisis in 2008?”
  • Pezzuto, I. (2014, January 13th). AGR NEWS. TV Interview on the topic: “Why the Eurozone, and in Particular Italy is Having a Harder Time to Recover From the Global Financial Crisis of 2008 Versus the USA? Interview with Prof. Ivo Pezzuto”
  • Pezzuto, I. (2014, January 10th). CNBC. TV Interview on the topic: “Dr. Pezzuto What is Your Take On The Financial Crisis of 2008? It Was Predictable and Avoidable!”

2013

  • Pezzuto, I. (2013, November 12th). AGR NEWS. TV Interview on the topic: “The Recession in Italy Continues Due to the Lack of Lending, Limited Investments, Low Consumptions, and High Unemployment. Interview with Prof. Ivo Pezzuto”
  • Pezzuto, I. (2013, November 12th). AGR NEWS. TV Interview on the topic: “Why the Eurozone, and in Particular Italy is Having a Harder Time to Recover From the Global Financial Crisis of 2008 Versus the USA? Interview with Prof. Ivo Pezzuto”