Egidio Palmieri
External Reviewer for the Research Quality Assessment (Vqr) Exercise 2020-2024 @Italian Ministry Of Education, Universities And Research
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WORK HISTORY
External Reviewer for the Research Quality Assessment (Vqr) Exercise 2020-2024 @Italian Ministry Of Education, Universities And Research
EDUCATION
Università degli Studi di Udine
Master in Banking and Finance
Università degli Studi di Udine
Bachelor of Science (B.Sc) in Business Administration - Banking and Finance, Banca e Finanza
MasterZ
Corso di Blockchain
Università degli Studi di Udine
PhD Student , Risk Management in Financial Institutions
Istituto Tecnico Commerciale Antonio Zanon
Commercial Expert and Programmer
ABOUT EGIDIO PALMIERI
I’m a Research Fellow in Bank Risk Management. I’ve attended a Ph.D and a Master’s degree in Banking and Finance and a Bachelor’s degree in Business Economics.PhD Project - Bank’s activity planning: a parametric approach to forecast balance sheet starting from supervisor’s indicatorsAbstract:Nowadays in the banking industry, there is a growing strengthening of supervisory indicators in order to guarantee a correct conduction of banking activities and financial system stability. This trend, driven by the need to adapt internal processes to the new regulatory framework, has led banks to develop a risk appetite framework (RAF) aiming at more conscious risk-taking decisions. It is evident that balance sheet is hugely affected by the risk appetite, defined in the RAF, and the limits derived from the Basel regulatory framework. The aim of this project is to create forecasting models, supporting banks’ balance sheet planning and budgeting activities. These models have to be able to calculate expected profits using supervisory indicators as parameters. Once the minimum level of each indicator is legal compliant, models will assess what is their optimal combination.The main objective that is expected to reach is to create a model that is compliant to the sectorial regulatory framework, integrating planning strategies and bank management theories, in order to support banks’ balance sheet forecasting and budgeting activities.
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