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Titolo Data di pubblicazione Autore(i) File
The Effect of Revenue and Geographic Diversification on Bank Performance 1-gen-2013 Brighi, P.; Venturelli, V.
The effect of the Fed zero-lower bound announcement on bank profitability and diversification 1-gen-2019 Landi, A.; Sclip, A.; Venturelli, V.
The effectiveness of insider trading regulations: The case of the Italian tender offers 1-gen-2015 Ferretti, Riccardo; Pattitoni, Pierpaolo; Salinas, Anna
Efficiency and unbiasedness of corn futures markets: New evidence across the financial crisis 1-gen-2013 Pederzoli, C.; Torricelli, C.
Emotional Intelligence and risk taking in investment decision-making 1-gen-2015 Rubaltelli, E.; Agnoli, S.; Rancan, M.; Pozzoli, T.
Energy price increases and mitigation policies: Redistributive effects on Italian households 1-gen-2023 Bonfatti, A.; Giarda, E.; Marotta, G.; responsabile collana Marotta, G.
ESG compliant optimal portfolios: The impact of ESG constraints on portfolio optimization in a sample of European stocks 1-gen-2022 Torricelli, C.; Bertelli, B.
ESG screening strategies and portfolio performance: how do they fare in periods of financial distress? 1-gen-2022 Torricelli, C.; Bertelli, B.
Exclusion of US-holders in cross-border takeover bids and the principle of equality in tender offers 1-gen-2009 Mucciarelli, F. M.
Family ties: occupational responses to cope with a household income shock 1-gen-2014 Baldini, M.; Torricelli, C.; Urzì Brancati, M. C.
Financial connectedness among European volatility risk premia 1-gen-2015 Cipollini, A.; Lo Cascio, I.; Muzzioli, S.
Financial Crisis and New Dimensions of Liquidity Risk: Rethinking Prudential Regulation and Supervision 1-gen-2009 Gualandri, E.; Landi, A.; Venturelli, V.
The Financial Decisions of Immigrant and Native Households: Evidence from Italy 1-gen-2018 Bertocchi, G.; Brunetti, M.; Zaiceva, A.
Financial fragility across Europe and the US: The role of portfolio choices, household features and economic-institutional setup 1-gen-2020 Brunetti, M.; Giarda, E.; Torricelli, C.
The financing of Italian firms and the credit crunch: findings and exit strategies 1-gen-2013 Gualandri, E.; Venturelli, V.
The Forecasting Performance of Dynamic Factor Models with Vintage Data 1-gen-2018 Di Bonaventura, L.; Forni, M.; Pattarin, F.
Household preferences for Socially Responsible Investments 1-gen-2018 Rossi, M. C.; Sansone, D.; Torricelli, C.; van Soest, A.
Housing Market Shocks in Italy: a GVAR Approach 1-gen-2018 Cipollini, A.; Parla, F.
How Do Macro-Financial Factors Influence Asset Classes’ Performance? An Empirical Analysis 1-gen-2024 di Bonaventura, L.; Morini, R.
How Does Financial Market Evaluate Business Models? Evidence From European Banks 1-gen-2017 Cosma, S.; Ferretti, R.; Gualandri, E.; Landi, A.; Venturelli, V.
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