Sfoglia per Relatore
Alcuni profili di vigilanza bancaria: il ruolo della BCE e dell'EBA
2023/2024 FONTANA, DYLAN
An Empirical Analysis of the Forecast of Corporate Financial Distress in the European Energy Sector
2022/2023 CESUR, MEHMET MERIC
Analisi del bilancio di una SIM: equilibri patrimoniali e reddituali
2022/2023 MARTINI, CHIARA
Analysing the dynamics of non-performing loans: new tools and traditional approaches
2023/2024 ABDULLINA, NURGUL
Analysis and impact of stress test on European Banking market
2016/2017 Romano, Giovanna
Assessment of public guarantee schemes as an instrument to face liquidity needs during Covid-19: the case of Veneto.
2020/2021 BALDASSA, ALESSANDRO
Bank profitability and financial stability: an Italian empirical analysis
2020/2021 Keli, Nazo
Behavioural finance and mifid II
2017/2018 Markvukaj, Brixhilda
Can market signals improve banking supervision? An empirical study on EU financial institutions
2022/2023 ROMOLI, DANIELE
Corporate Social Responsibility and Corporate Financial Performance: evidence from the European banking sector.
2020/2021 Demiraj, Fabiana
Corporate Social Responsibility in European Banks: do ESG scores affect performance and risk-taking behavior?
2022/2023 ROSSI, IVAN MARCELLO
Deposit insurance and moral hazard
2020/2021 Gattolin, Riccardo
A detailed analysis on the overall changes due to the introduction of IFRS 9
2020/2021 Pulin, Alberto
The determinants of non-performing loans' evolution in the european banking system: the role of corporate governance
2020/2021 Mauro, Andrea
The ECB's unconventional monetary policy and its impact on stock returns of euro area banks.
2019/2020 Gardin, Enrico
Educazione finanzaria in italia: una nuova frontiera per una cittadinanza consapevole
2018/2019 Nava, Alessandro
Educazione finanziaria in Italia e il ruolo delle banche
2021/2022 Bottoni, Luca
"Educazione finanziaria: iniziative e analisi d'impatto"
2021/2022 PETRICCIONE, FRANCESCA
The effects of ECB's monetary policy on banks' investment decisions
2020/2021 Tessari, Margherita
EFFETTI DEL RISCHIO CLIMATICO SUL SISTEMA FINANZIARIO ITALIANO: TIPOLOGIE D’IMPATTO, STRUMENTI DI VALUTAZIONE DEL RISCHIO E LA SFIDA PER UNA FINANZA SOSTENIBILE
2020/2021 MARIN, ALESSANDRA
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