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Dr. Marco Taddei | financial risks | Best Academic Researcher Award

PhD student, Tor Vergata, Italy 🏆

Marco Taddei is a dedicated PhD student specializing in Banking and Finance at the University of Rome Tor Vergata. With a strong academic foundation in economics and management, he contributes actively to research in financial risk and ESG. As a Teaching Assistant, he shares his expertise in retail banking and credit institutions. His research delves into the financial impact of environmental policies, particularly biodiversity risks. Marco is an active member of professional organizations like ADEIMF and SIDE, further strengthening his engagement in the field. His contributions to finance and sustainability make him a promising scholar in the domain.

Profile

Orcid

Education 🎓

Marco Taddei holds a Bachelor’s degree in Economics from the University of Florence. He further pursued a Master’s degree in Management of Financial Institutions at the University of Siena, graduating with top honors (110/110). Currently, he is a PhD candidate in Management with a specialization in Banking and Finance at the University of Rome Tor Vergata. His academic journey reflects a strong commitment to financial studies, equipping him with expertise in banking regulations, credit risk, and sustainable finance. His research integrates financial strategies with environmental policies, contributing to the growing field of biodiversity finance.

Experience 💼

Marco has accumulated valuable experience in academia and research. He serves as a Teaching Assistant in Retail Banking and Management of Credit Institutions at the University of Rome Tor Vergata, where he guides students through financial principles and banking strategies. His research focuses on financial risk, climate change impacts, and biodiversity finance. Additionally, he has contributed to various academic projects and collaborated with experts in the field. Through his academic engagements and professional memberships, he continuously enhances his expertise in financial risk assessment and sustainability finance.

Research Interests 🔬

Marco’s research revolves around climate risks, ESG factors, biodiversity finance, and financial risk management. His work focuses on understanding the intersection of environmental sustainability and financial markets, particularly how policies like the Nature Restoration Law impact equity behavior. By utilizing event study methodologies, he analyzes market reactions to environmental regulations and their financial implications. His expertise in financial econometrics and risk assessment enables him to provide valuable insights into sustainable investment strategies. His research contributes to a better understanding of biodiversity-related financial risks, helping bridge the gap between environmental policies and financial markets.

Awards & Honors 🏅

Marco Taddei’s contributions to financial risk research have earned him recognition in academic circles. His research on biodiversity finance has been acknowledged through conference presentations and journal publications. As an active member of ADEIMF and SIDE, he continues to engage with leading economists and financial analysts. He has been nominated for the Best Researcher Award for his impactful work on the relationship between biodiversity risk and market performance. His growing recognition in academia highlights his dedication to advancing financial sustainability and responsible investment practices.

Publications 📚

Taddei, M., et al. (2025). The Impact of Nature Restoration Law on Equity Behavior: How Biodiversity Risk Affects Market Risk. Risks, 13(3), 59. 🔗 DOI LinkCited by: 10+

Chapter Contribution (Upcoming, 2025): Biodiversity FinancePalgrave Macmillan

Chapter 8 Contribution (Upcoming, 2025): Il bilancio bancario in La banca by Gai, L. – Franco Angeli Editore

Conference Abstract: Impact of Migration on Credit Risk (Under Review)

Conclusion

Marco Taddei demonstrates a promising academic and research career with strong foundations in financial and biodiversity-related research. His interdisciplinary work, professional memberships, and teaching contributions make him a strong candidate for the Best Academic Researcher Award. However, increasing high-impact publications, industry collaborations, and editorial contributions would further solidify his standing as a leading researcher in his field.

Marco Taddei | financial risks | Best Academic Researcher Award

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