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Titolo Data di pubblicazione Autore(i) File
Portfolio choice: Evidence from new-borns 1-gen-2019 Arnaboldi, F.; Gioia, F.
Pre-selection in cointegration-based pairs trading 1-gen-2022 Brunetti, M.; De Luca, R.
Pseudo-naïve approaches to investment performance measurement 1-gen-2015 Magni, C. A.
Rating Triggers, Market Risk and the Need for More Regulation 1-gen-2012 Parmeggiani, F.
The relation between implied and realised volatility: are call options more informative than put options? Evidence from the DAX index options market 1-gen-2007 Muzzioli, S.
The Risk-Asymmetry Index 1-gen-2016 Elyasiany, E.; Gambarelli, L.; Muzzioli, S.
Second homes: households' life dream or (wrong) investment? 1-gen-2015 Brunetti, M.; Torricelli, C.
Security-voting structure and equity financing inthe Banking Sector: ‘One Head-One Vote’ versus ‘One Share-One Vote’ 1-gen-2019 Ferretti, R.; Pattitoni, P.; Castelli, A.
Sensitivity of profitability in cointegration-based pairs trading 1-gen-2022 Brunetti, M.; De Luca, R.
Short-term household income mobility before and after the Great Recession: A four-country study 1-gen-2019 Casabianca, E. J.; Giarda, E.; Marotta, G.; Marotta, G. non è autore ma Direttore della collana CEFIN
Should football coaches wear a suit? The impact of skill and management structure on Serie A Clubs’ performance 1-gen-2014 Torricelli, C.; Urzì Brancati, M. C.; Mirtolen, L.
The skew pattern of implied volatility in the DAX index options market 1-gen-2009 Muzzioli, S.
Social bonds and the "social Premium" 1-gen-2022 Torricelli, Costanza; Pellati, Eleonora
Social Bonds and the “Social Premium” 1-gen-2022 Torricelli, C.; Pellati, E.
The sovereign debt crisis: the impact on the intermediation model of Italian banks 1-gen-2013 Cosma, S.; Gualandri, E.
Spending Policies of Italian Banking Foundations 1-gen-2018 Pattarin, F.
Structural breaks in the lending interest rate pass-through and the euro 1-gen-2008 Marotta, G.
Strumenti per il sostegno finanziario di famiglie e microimprese: il caso italiano (Policies to help financially vulnerable Italian households and micro-businesses) 1-gen-2016 Cotterli, S.
Systemic risk measures and macroprudential stress tests An assessment over the 2014 EBA exercise 1-gen-2015 Pederzoli, C.; Torricelli, C.
A test of the Behavioral versus the Rational model of Persuasion in Financial Advertising 1-gen-2016 Ferretti, R.; Pancotto, F.; Rubaltelli, E.
Mostrati risultati da 70 a 89 di 95
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