Roberto Moro-Visconti | Corporate Finance | Innovative Research Award

Prof. Dr. Roberto Moro-Visconti | Corporate Finance | Innovative Research Award 

Prof. Dr. Roberto Moro-Visconti | Corporate Finance | Professor at Catholic University | Italy

Prof. Dr. Roberto Moro-Visconti is a distinguished scholar, chartered accountant, and consultant specializing in corporate finance, financial innovation, and the economic impact of digital transformation. His professional journey combines deep academic expertise with hands-on consultancy for private and public institutions, where he has advised on mergers, acquisitions, valuation of intangible assets, and turnaround strategies for distressed entities. As an associate professor of corporate finance at Università Cattolica del Sacro Cuore in Milan, he has contributed significantly to teaching, research, and mentorship, while also serving as an expert advisor to the Court of Milan on corporate finance and intellectual property. His career demonstrates a unique blend of academic scholarship, professional consultancy, and thought leadership in finance and economics.

Academic Profile

ORCID

Education

Prof. Dr. Roberto Moro-Visconti pursued a degree in Economics and Commerce at Università Cattolica del Sacro Cuore in Milan, laying the foundation for his career in finance and accounting. He later advanced his expertise through a Master in Finance and Investment at the University of Exeter in the United Kingdom, further solidifying his international academic exposure. He completed his Ph.D. in Economics at the same institution, marking a pivotal point in his research-oriented career. Over the years, his academic journey has been complemented by continuous engagement with professional certifications, including his long-standing role as a chartered accountant and auditor. His academic credentials, combined with his habilitation for full professorship, reflect a lifelong commitment to rigorous scholarship and professional practice.

Experience

The career of Prof. Dr. Roberto Moro-Visconti spans academia, consultancy, and judicial expertise. As a faculty member at Università Cattolica del Sacro Cuore, he has taught corporate finance and mentored future leaders in economics and management. Beyond academia, he has worked as a financial consultant for public and private entities, providing expertise in business planning, due diligence, intellectual property valuation, and restructuring processes. He has also played key roles as a statutory auditor, liquidator, and non-executive director in corporations across diverse industries. His consultancy extends to litigation and arbitration, where he has provided technical opinions in corporate finance cases. He is an experienced conference speaker, having presented research on corporate governance, financial innovation, and valuation models at numerous international forums.

Research Interest

Prof. Dr. Roberto Moro-Visconti’s research interests span financial innovation, corporate governance, sustainability, and the intersection of digital transformation with traditional finance. He has extensively studied FinTech, InsurTech, and PropTech industries, focusing on how scalable digital platforms reshape business models and valuation methods. His work also investigates the role of artificial intelligence in corporate decision-making, financial intermediation, and value creation. Another significant research stream explores sustainability and ESG integration in finance, bridging the gap between profitability and long-term societal impact. With interdisciplinary approaches, he connects economics, technology, and management science, contributing to academic debates while providing practical insights for industries and policymakers.

Award

Throughout his career, Prof. Dr. Roberto Moro-Visconti has been recognized for his contributions to academic excellence, consultancy expertise, and leadership in the finance discipline. His role as a technical expert for the Court of Milan highlights his credibility and authority in financial evaluation and intellectual property cases. Additionally, he has received recognition at both national and international levels for his participation in academic and professional conferences, as well as his impactful publications. His dedication to advancing corporate finance, digital transformation, and sustainability underscores his suitability for award recognition in academic and professional excellence.

Selected Publication

  • “Artificial intelligence-driven scalability and its impact on the sustainability and valuation of traditional firms” – 2023 – 41 citations

  • “Business Models and Sustainability Plans in the FinTech, InsurTech, and PropTech Industry: Evidence from Spain” – 2022 – 65 citations

  • “Digitalization intensity and its impact on financial performance: The role of scalable platforms” – 2025 – 23 citations

  • “Decoupling and Contagion in Bitcoin Markets: Evidence from a Bayesian Volatility Model” – 2025 – 18 citations

Conclusion

Prof. Dr. Roberto Moro-Visconti has built an illustrious career that bridges academia, consultancy, and public service, making him a highly deserving candidate for award recognition. His contributions to corporate finance research, particularly in digital transformation, artificial intelligence, and sustainability, position him as a forward-thinking leader in the global academic community. With impactful publications, extensive professional consultancy, and dedication to mentoring future scholars, he continues to shape the evolving discourse in finance and economics. His future trajectory promises even greater contributions to research, thought leadership, and policy impact, reflecting the qualities of an outstanding award nominee.

Taicir MEZGHANI | Finance | Best Researcher Award

Assist. Prof. Dr. Taicir MEZGHANI | Finance | Best Researcher Award

Assist. Prof. Dr. Taicir MEZGHANI | Finance – Assistant Professor at Faculty of Economic Sciences and Management of Sfax, Tunisia

Taicir Mezghani is a distinguished scholar in the field of Finance, specializing in topics such as portfolio management, financial markets, behavioral finance, sustainable finance, and machine learning applications in finance. With a Ph.D. in Finance obtained from the Faculty of Economics and Management of Sfax in January 2021, Mezghani has made significant contributions to the academic world. He currently holds several teaching positions, including contractual and visiting roles at ISAA and ENTCOM of Sfax. His expertise spans a wide range of subjects, from corporate finance to the role of blockchain in financial markets.

Profile Verified:

Google Scholar | ORCID | Scopus

Education:

Dr. Mezghani’s academic journey began with a Bachelor’s degree in Economics and Management from the Lycée Hedi Chaker-Sfax in 2007. He then earned a Master’s in Finance from the Faculty of Economics and Management of Sfax in May 2015, where he explored the intersection of investment and financing decisions through real options theory. His doctoral research, completed in January 2021, focused on the uncertainty and behavioral factors influencing financial markets, specifically examining hedging strategies in the context of oil and the GCC Islamic and conventional financial markets.

Experience:

Dr. Mezghani has developed a well-rounded career as an educator and researcher. From 2019 to 2024, he served as a contracted and visiting lecturer at various institutions in Sfax, contributing to the education of future financial experts. He also has experience in postdoctoral research at the University of Craiova, Romania, where he worked on green financing and technological innovation for sustainable development. His diverse professional experience has equipped him with both theoretical knowledge and practical insights into financial markets and their complexities.

Research Interests:

Dr. Mezghani’s research interests are deeply rooted in the intersection of finance, technology, and sustainability. He is particularly interested in the dynamic connectedness between financial markets, the impact of uncertainty on financial strategies, and the role of behavioral factors in investment decision-making. His research also focuses on the evolving role of green bonds, blockchain technologies, and machine learning in reshaping the future of finance, particularly in the context of the GCC financial markets and the oil sector.

Awards:

Dr. Mezghani has received several prestigious awards recognizing his outstanding research and contributions to finance. Notably, he received the Best Paper Award at the TSFS 2023 conference for his work on cryptocurrency forecasting during the COVID-19 pandemic. He was also honored with the Certificat Meilleur Jury at the Virtual Asia Innovation Show in 2022, further solidifying his reputation as a leading figure in financial research. These accolades reflect his dedication to advancing knowledge in the field of finance, particularly through the integration of behavioral insights and technological advancements.

Publications:

  1. Mezghani, T., Ben Hamadou, F., & Boujelbène-Abbes, M. (2023). “Network connectedness and portfolio hedging of green bonds, stock markets, and commodities.” International Journal of Emerging Markets. [IF: 2.53, SJR: 0.43, Q2] 📊
  2. Ben Hamadou, F., Mezghani, T., Zouari, R., & Boujelbène-Abbes, M. (2023). “Forecasting Bitcoin returns using machine learning algorithms: Impact of investor sentiment.” EuroMed Journal of Business. [IF: 7.16, SJR: 0.963, Q1] 💻
  3. Mezghani, T., & Boujelbène-Abbes, M. (2023). “Forecasting the impact of financial stress on hedging between the oil market and GCC financial markets.” Managerial Finance. [IF: 1.77, SJR: 0.329, Q3] 💼
  4. Mezghani, T., & Boujelbène-Abbes, M. (2023). “Influence of oil price fluctuations on the network connectedness between oil, GCC Islamic, and conventional financial markets.” International Journal of Islamic and Middle Eastern Finance and Management. [IF: 2.276, SJR: 0.49, Q2] 🛢️
  5. Mezghani, T., & Boujelbène-Abbes, M. (2022). “Forecast the Role of GCC Financial Stress on Oil Market and GCC Financial Markets Using Convolutional Neural Networks.” Asia-Pacific Financial Markets. [IF: 1.30, SJR: 0.23, Q3] 🌍
  6. Mezghani, T., & Boujelbène-Abbes, M. (2021). “Financial stress effects on financial markets: Dynamic connectedness and portfolio hedging.” International Journal of Emerging Markets. [IF: 2.53, SJR: 0.43, Q2] 📉
  7. Mezghani, T., & Boujelbène, M. (2021). “Impact of COVID-19 pandemic on risk transmission between investor sentiment and the Chinese stock and bond markets.” China Finance Review International. [IF: 5.93, SJR: 1.494, Q1] 🌐

Conclusion:

Dr. Taicir Mezghani is a promising researcher and educator whose contributions to finance and economics have made a significant impact. His expertise in behavioral finance, machine learning, and sustainable finance continues to shape the way financial markets are understood and analyzed. With a robust publication record and numerous awards, Dr. Mezghani is poised to continue influencing the academic and professional worlds of finance for years to come. His ongoing research, including the development of green bonds and technological innovations in finance, promises to offer valuable insights into the future of sustainable financial practices.