Trotta Annarita
CURRENT POSITION
Full professor of Banking and Finance and Chair in “Financial Markets and Behavioral Finance” at University ‘Magna Graecia’ of Catanzaro (Italy);
Member of the PhD Council of the School of Theory of  Law and European Legal and Economic Systems at UMG ((and coordinator of the PhD Curriculum “Companies, Institutions, and Markets in the European Union, since 2014);
Member of the Evaluation Unit of the LUM Jean Monnet University (Italy);
Member of the Committee of Advisors: Ordines (for Interdisciplinary Research on European Institutions); Ordinary Member of the Italian Association of Scholars of Economics and Management of Financial Institutions and Markets.

ACADEMIC BACKGROUND AND WORK EXPERIENCE   
Ph.D. in Business Administration, University of Naples ‘Federico II’, 1995;
Assistant Professor in Economics and Management of Financial Institutions and Markets, University of Naples ‘Federico II’ (1995-2001);
Associate Professor in Economics and Management of Financial Institutions and Markets, University of Catanzaro ‘ Magna Graecia’ (2001- 2006);
Full Professor in Economics and Management of Financial Institutions and Markets, University of Catanzaro ‘Magna Graecia’, since 2006;
Chair of Banking and Finance, University Magna Graecia of Catanzaro, since 2001.
She have also taught several courses over the years in Banking and Finance, at both the undergraduate and graduate levels, including: Corporate Finance, Advanced Corporate Finance, Banking and Financial Markets, Economics and Management of Financial Institutions and Markets.
She worked at the Faculty of Economics of the University of Naples, where she taught  courses in:  Banking (1997-1999); Financial Markets (1999 -2002);  Securities Markets (2002-2004).
Member of the Italian Committee granting the National Scientific Qualification (academic disciplines: Economics and Management of Financial Institutions and Markets, Corporate Finance), [2012-2013]. 


CURRENT POSITION
Full professor of Banking and Finance and Chair in “Financial Markets and Behavioral Finance” at University ‘Magna Graecia’ of Catanzaro (Italy);
Member of the PhD Council of the School of Theory of  Law and European Legal and Economic Systems at UMG ((and coordinator of the PhD Curriculum “Companies, Institutions, and Markets in the European Union, since 2014);
Member of the Evaluation Unit of the LUM Jean Monnet University (Italy);
Member of the Committee of Advisors: Ordines (for Interdisciplinary Research on European Institutions); Ordinary Member of the Italian Association of Scholars of Economics and Management of Financial Institutions and Markets.

ACADEMIC BACKGROUND AND WORK EXPERIENCE   
Ph.D. in Business Administration, University of Naples ‘Federico II’, 1995;
Assistant Professor in Economics and Management of Financial Institutions and Markets, University of Naples ‘Federico II’ (1995-2001);
Associate Professor in Economics and Management of Financial Institutions and Markets, University of Catanzaro ‘ Magna Graecia’ (2001- 2006);
Full Professor in Economics and Management of Financial Institutions and Markets, University of Catanzaro ‘Magna Graecia’, since 2006;
Chair of Banking and Finance, University Magna Graecia of Catanzaro, since 2001.
She have also taught several courses over the years in Banking and Finance, at both the undergraduate and graduate levels, including: Corporate Finance, Advanced Corporate Finance, Banking and Financial Markets, Economics and Management of Financial Institutions and Markets.
She worked at the Faculty of Economics of the University of Naples, where she taught  courses in:  Banking (1997-1999); Financial Markets (1999 -2002);  Securities Markets (2002-2004).
Member of the Italian Committee granting the National Scientific Qualification (academic disciplines: Economics and Management of Financial Institutions and Markets, Corporate Finance), [2012-2013]. 
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RESEARCH INTERESTS
Over her 25-year academic career, she has authored (or co-authored) more than 60 scientific publications and 4 books. She is also the author (or co-author) of several papers presented at many international academic Conferences. Her primary areas of research are: Social and Sustainable Finance; Impact Investing; Alternative Finance and Sustainability; Reputational risk and reputational crisis in the banking sector; Corporate Social Responsibility in the banking sector; Subprime crisis and Credit Rating Agencies; Local banking and information asymmetries; Credit risk; Small business, Venture Capital and Informal Venture Capital; Bank-small business relationships; Small business and internationalization; Finance and Medicine; Health care financing and Teaching Hospitals, and Performance Measurement and Teaching Hospitals. 

RECENT RESEARCH GRANTS  
2017-2020: Coordinator of the Research Unit (University of Catanzaro) of the Project “An Italian platform for impact finance: financial models for social inclusion and sustainable welfare”, financed by the Italian Ministry of Education (MIUR). Participating universities: University of Rome “la Sapienza” (Project leader), Rome “Tor Vergata”, University of Macerata and the Polytechnic University of Turin.

SELECTED PUBLICATIONS (2014- 2017):
  1. Carè S., Trotta A., Carè R., Rizzello A., 2018 “Crowdfunding for the development of smart cities”, Business Horizons ISSN: 0007-6813 (Impact Factor: 2.157; 5-year Impact Factor: 3.329; Anvur Ranking: A-Class); 
  2. Dell'Atti, S., Trotta, A., Iannuzzi, A. P., & Demaria, F. (2017). Corporate Social Responsibility Engagement as a Determinant of Bank Reputation: An Empirical Analysis. Corporate Social Responsibility and Environmental Management; ISSN (online) 1535-3966 [Impact Factor: 2.647; ISI Journal Citation Reports © Ranking: 2015: 19/104 (Environmental Studies); 28/120 (Business); 36/192 (Management); Anvur Ranking: A-Class], 
  3. Carè R., Trotta A., Rizzello A., (2017, in press), “An alternative finance approach for a more sustainable financial system”, in Walker, T., Kibsey, S. D., Crichton, R. (Eds.), “Designing a Sustainable Financial System. Development Goals and Socio-Ecological Responsibility”, Palgrave Macmillan, ISBN 978-3-319-66387-6. Rizzello A., Caré R., Migliazza M.C.,
  4. Rizzello A., Caré R., Migliazza M.C., Trotta A(2016), Social Impact Investing: A Model and Research Agenda, in In O. Lehner (Ed.), The Routledge Handbook of Social and Sustainable Finance, Routledge, ISBN: 978-1-13-877754-5, 
  5. Trotta A., Iannuzzi A.P., Pacelli V., 2016, Reputation, reputational risk and reputational crisis in the banking industry: State of the art and concepts for improvements, in Dell’Atti S., Trotta A. (Eds.), 2016, Managing Reputation in banking industry. Theory and Practice, Springer International, ISBN 978-3-319-28254-1; DOI: 10.1007/978-3-319-28256-5,  
  6. Dell’Atti S., Pacelli V., Sylos Labini S., Trotta A., 2016, Managing Reputation: Reflections and operational suggestions,  in Dell’Atti S., Trotta A. (Eds.), 2016, Managing Reputation in banking industry. Theory and Practice, Springer International, ISBN 978-3-319-28254-1; DOI: 10.1007/978-3-319-28256-5,  
  7. Dell’Atti S., Trotta A. (Eds.), 2016, Managing Reputation in banking industry. Theory and Practice, Springer International, ISBN 978-3-319-28254-1; DOI: 10.1007/978-3-319-28256-5; http://www.springer.com/gp/book/9783319282541,  
  8. Mauro M., Cardamone E., Cavallaro G., Minvielle E., Sicotte C., Rania F., Trotta A., 2014, Teaching Hospital performance: Towards a community of shared values? Social Science & Medicine, 101, pp. 107-112, DOI information: 10.1016/j.socscimed.2013.11.027; ISSN: 0277-9536 (Impact Factor: 2.733; 5-Year Impact Factor: 3, 688), Anvur Ranking: A-Class)



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Tel: Tel.: +39 0961 3694975-6
trotta@unicz.it