Sfoglia per Serie
The impact of the Fundamental Review of the Trading Book: A preliminary assessment on a stylized portfolio
2019-01-01 Pederzoli, C.; Torricelli, C.
Indebtedness, macroeconomic conditions and banks’ loan losses: evidence from Italy
2008-01-01 Castellani, S.; Pederzoli, C.; Torricelli, C.
Individual Heterogeneity and Pension Choices How to Communicate an Effective Message?
2017-01-01 Gallo, G.; Torricelli, C.; van Soest, A.
Internal Corporate Governance and the Financial Crisis: Lessons for Banks, Regulators and Supervisors
2011-01-01 Gualandri, E.; Mangone, E.; Stanziale, A.
Introducing Aggregate Return on Investment as a Solution to the Contradiction Between Some PME Metrics and IRR
2015-01-01 Altshuler, D.; Magni, C. A.
Is Equity Crowdfunding a Good Tool for Social Enterprises?
2018-01-01 Cosma, S.; Grasso, A. G.; Pagliacci, F.; Pedrazzoli, A.
Is it money or brains? The determinants of intra-family decision power
2012-01-01 Bertocchi, G.; Brunetti, M.; Torricelli, C.
Is public information really public? The role of newspapers.
2008-01-01 Ferretti, R.; Pattarin, F.
‘It’s a trap!’ The degree of poverty persistence in Italy and Europe
2015-01-01 Giarda, E.; Moroni, G.; Marotta, G.; Marotta, G. non è autore ma Direttore della collana CEFIN
La regolamentazione dello short selling: effetti sul mercato azionario italiano (Short selling ban: effects on the Italian stock market)
2013-01-01 Mattioli, L.; Ferretti, R.
Le offerte pubbliche di acquisto in Italia a venti anni dal Testo unico della finanza (Tender offers in Italy twenty years after the unified finance law)
2021-01-01 Iocca, M. G.; Ferretti, R.
Lending interest rate pass-through in the euro area. A data-driven tale
2008-01-01 Marotta, G.
A liquidity risk index as a regulatory tool for systemically important banks? An empirical assessment across two financial crises
2013-01-01 Gianfelice, G.; Marotta, G.; Torricelli, C.
The market price of greenness. A factor pricing approach for Green Bonds
2022-01-01 Bertelli, B.; Boero, G.; Torricelli, C.
Market Reaction to Second-Hand News: Attention Grabbing or Information Dissemination?
2011-01-01 Cervellati, E. M.; Ferretti, R.; Pattitoni, P.
Market-Book Ratios of European Banks: What Does Explain the Structural Fall?
2018-01-01 Ferretti, R.; Gallo, G.; Landi, A.; Venturelli, V.
The Maximum Lq-Likelihood Method: an Application to Extreme Quantile Estimation in Finance
2007-01-01 Ferrari, D.; Paterlini, S.
Model risk and techniques for controlling market parameters
2007-01-01 Bonollo, M.; Morandi, D.; Pederzoli, C.; Torricelli, C.
Modelling credit risk for innovative firms: the role of innovation measures
2011-01-01 Pederzoli, C.; Thoma, G.; Torricelli, C.
Models for household portfolios and life-cycle allocations in the presence of labour income and longevity risk
2009-01-01 Torricelli, C.
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