Sfoglia per Relatore  

Opzioni
Vai a: 0-9 A B C D E F G H I J K L M N O P Q R S T U V W X Y Z

Mostrati risultati da 78 a 84 di 84
Tipologia Anno Titolo Titolo inglese Autore File
Lauree magistrali 2016 Testing the "weak form efficient market" hypothesis: an analysis on european and italian equity markets - Mauro, Stefania
Lauree magistrali 2022 The Covid-19 crisis and the resilience of banks The Covid-19 crisis and the resilience of banks DEMIRAJ, SELENA
Lauree magistrali 2022 The European Safe Bonds (ESBies): a new security to manage sovereign risk and banking risk? The European Safe Bonds (ESBies): a new security to manage sovereign risk and banking risk? SAHNOUN, IMEN
Lauree magistrali 2020 The impact of financial regulation on banking activity: a CAMEL Model Analysis of Selected Banks The impact of financial regulation on banking activity: a CAMEL Model Analysis of Selected Banks DONÀ, LEONARDO
Lauree magistrali 2021 The relationship between the European Central Bank transparency and the Eurozone systemic risk level: an empirical analysis The relationship between the European Central Bank transparency and the Eurozone systemic risk level: an empirical analysis MONTRESOR, ARIANNA
Lauree triennali 2018 Total beta: una misura alternativa al capital asset pricing model - Ghidini, Maddalena
Lauree magistrali 2022 U.S. MUTUAL FUND PERFORMANCE DURING THE COVID-19 CRISIS U.S. MUTUAL FUND PERFORMANCE DURING THE COVID-19 CRISIS CARTA, SILVIA MARIA
Mostrati risultati da 78 a 84 di 84
Legenda icone

  •  file ad accesso aperto
  •  file ad accesso riservato
  •  file sotto embargo
  •  nessun file disponibile