Measuring bank capital requirements through dynamic factor analysis
2008 Cipollini, A.; Missaglia, G.
The evolution of citizenship: economic and institutional determinants
2007 Bertocchi, G.; Strozzi, C.
Opening the black box: structural factor models with large cross-sections
2007 Forni, M.; Giannone, D.; Lippi, M.; Reichlin, L.
Dynamic factor analysis of industry sector default rates and implication for portfolio credit risk modelling
2007 Cipollini, A.; Missaglia, G.
Leading indicator properties of US high-yield credit spread
2007 Cipollini, A.; Aslanidis, N.
The distribution of the gender wage gap in Italy: does education Matter?
2007 Addabbo, T.; Favaro, D.; Magrini, S.
Migrant networks: empirical implications for the Italian bilateral trade
2007 Murat, M.; Pistoresi, B.
Migrant business networks and FDI
2007 Murat, M.; Flisi, S.
The Maximum Lq-likelihood method: an application to extreme quantile estimation in finance
2007 Ferrari, D.; Paterlini, S.
Attitude towards financial planning of Italian households
2022 Brunetti, M; ; Ciciretti R., ; Gentile; M. ; Linciano N. ; Soccorso, P.
Sensitivity of profitability in cointegration-based pairs trading
2022 Brunetti, M.; De Luca, R.
Pre-selection in cointegration-based pairs trading
2022 Brunetti, M.; De Luca, R.
The market price of greenness. A factor pricing approach for Green Bonds
2022 Bertelli, B.; Boero, G.; Torricelli, C.
Social Bonds and the “Social Premium”
2022 Torricelli, C.; Pellati, E.
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 Iocca, M. G.; Ferretti, R.
Collateral Requirements of SMEs: The Evidence from Less–Developed Countries
2012 Bazzana, F.; Broccardo, E.; Hanedar, E. Y. Hanedar; Marotta, G.
Financial fragility across Europe and the US: The role of portfolio choices, household features and economic-institutional setup
2020 Brunetti, M.; Giarda, E.; Torricelli, C.
ESG screening strategies and portfolio performance: how do they fare in periods of financial distress?
2022 Torricelli, C.; Bertelli, B.
ESG compliant optimal portfolios: The impact of ESG constraints on portfolio optimization in a sample of European stocks
2022 Torricelli, C.; Bertelli, B.
"Climate Stress Test: bad (or good) news for the market? An Event Study Analysis on Euro Zone Banks"
2022 Torricelli, C.; Ferrari, F.; Pederzoli, C.
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Scopri
Tipologia
- Altro1809
Data di pubblicazione
- 2020 - 2026270
- 2010 - 2019654
- 2000 - 2009603
- 1990 - 1999234
- 1980 - 198942
- 1976 - 19795
Editore
- Dipartimento di Economia Marco Bi...634
- Dipartimento di Economia Marco Bi...340
- Dipartimento di Economia Marco Biagi128
- Dipartimento di Economia Marco Bi...97
- Dipartimento di Economia Politica...74
- SSRN (Social Science Research Net...12
- ADAPT University Press11
- CEPR (Center for Economic Policy ...11
- Dipartimento di Scienze e Metodi ...10
- Dipartimento di Scienze Sociali, ...10
Rivista
- CENTRE FOR ECONOMIC POLICY RESEAR...2
- JOURNAL OF CHEMICAL AND ENGINEERI...1
- JOURNAL OF ECONOMIC DYNAMICS & CO...1
- JOURNAL OF PERSONALIZED MEDICINE1
- JOURNAL OF THE CHEMICAL SOCIETY. ...1
- TORONTO WORKING PAPERS IN LINGUIS...1
Serie
- MATERIALI DI DISCUSSIONE572
- DEMB WORKING PAPER SERIES267
- CAPPAPERS188
- RECENT WORKING PAPER SERIES162
- CEFIN WORKING PAPERS105
- DISCUSSION PAPER SERIES15
- WORKING PAPER ADAPT13
- IZA DISCUSSION PAPER8
- WORKING PAPER OSSERVATORIO SULLE ...6
- QUADERNI FONDAZIONE MARCO BIAGI5
Keyword
- Italy38
- gender20
- inequality14
- institutions13
- Emilia-Romagna12
- migration12
- poverty12
- -11
- education11
- higher education11
Lingua
- eng1202
- ita593
- fre10
- spa4
- por1
Accesso al fulltext
- open1346
- no fulltext396
- reserved64
- partially open3
