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Tipologia Anno Titolo Titolo inglese Autore File
Lauree magistrali 2020 Bank profitability and financial stability: an Italian empirical analysis - Keli, Nazo
Lauree magistrali 2017 Behavioural finance and mifid II - Markvukaj, Brixhilda
Lauree magistrali 2022 Can market signals improve banking supervision? An empirical study on EU financial institutions Can market signals improve banking supervision? An empirical study on EU financial institutions ROMOLI, DANIELE
Lauree magistrali 2020 Corporate Social Responsibility and Corporate Financial Performance: evidence from the European banking sector. - Demiraj, Fabiana
Lauree magistrali 2022 Corporate Social Responsibility in European Banks: do ESG scores affect performance and risk-taking behavior? Corporate Social Responsibility in European Banks: do ESG scores affect performance and risk-taking behavior? ROSSI, IVAN MARCELLO
Lauree magistrali 2020 Deposit insurance and moral hazard - Gattolin, Riccardo
Lauree magistrali 2020 A detailed analysis on the overall changes due to the introduction of IFRS 9 - Pulin, Alberto
Lauree magistrali 2020 The determinants of non-performing loans' evolution in the european banking system: the role of corporate governance - Mauro, Andrea
Lauree magistrali 2019 The ECB's unconventional monetary policy and its impact on stock returns of euro area banks. - Gardin, Enrico
Lauree triennali 2018 Educazione finanzaria in italia: una nuova frontiera per una cittadinanza consapevole - Nava, Alessandro
Lauree triennali 2021 Educazione finanziaria in Italia e il ruolo delle banche - Bottoni, Luca
Lauree triennali 2021 "Educazione finanziaria: iniziative e analisi d'impatto" "Financial education: initiatives and impact analysis" PETRICCIONE, FRANCESCA
Lauree magistrali 2020 The effects of ECB's monetary policy on banks' investment decisions - Tessari, Margherita
Lauree triennali 2020 EFFETTI DEL RISCHIO CLIMATICO SUL SISTEMA FINANZIARIO ITALIANO: TIPOLOGIE D’IMPATTO, STRUMENTI DI VALUTAZIONE DEL RISCHIO E LA SFIDA PER UNA FINANZA SOSTENIBILE EFFECTS OF CLIMATE RISK ON THE ITALIAN FINANCIAL SYSTEM: TYPES OF IMPACT, RISK ASSESSMENT TOOLS AND THE CHALLENGE FOR SUSTAINABLE FINANCE MARIN, ALESSANDRA
Lauree magistrali 2019 The federal funds rate effections Usa bank's profitability - Vinci, Carlo Maria
Lauree magistrali 2021 Financial literacy and the financial crisis: evidence from Italy - Altheimer, Andrea
Lauree magistrali 2018 The financial portfolio construction and the VIX index: from a theoretical outlook to a practical application. - D'Aniello, Velia
Lauree triennali 2021 Finanziare la crescita sostenibile: il piano d'azione dell'Unione Europea - Ramponi, Loretta
Lauree triennali 2021 Green Bond e Green Loan: quando la finanza può dirsi "verde" Green Bond and Green Loan: when finance can be "green" FERRARESSO, ELISA
Lauree triennali 2021 Guida sui rischi climatici e ambientali per le banche: linee guida e stress test della BCE Guide on climate-related and environmental risks for banks: ECB guidelines and stress tests FONTANA, KARIN
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