Sfoglia per Corso  

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 21 a 40 di 182
Tipologia Anno Titolo Titolo inglese Autore File
Lauree magistrali 2020 A bi-faced Eurobond to immunize the European Monetary Union from exogenous shocks: a counterfactual exercise - Chitarin, Elisabetta
Lauree magistrali 2019 BRRD and bail-in: a remedy to the sovereign-bank nexus? - Zardet, Marco
Lauree magistrali 2017 CEOs' bank remuneration and the financial crisis - Vidoni, Simonetta
Lauree magistrali 2020 The chinese financial market: development, features and performance analysis - Tovo, Simone
Lauree magistrali 2021 Commitment versus discretion in the management of fiscal policy - Volpin, Alberto
Lauree magistrali 2021 Consumer credit: a comparative study of U.S. and EU - Bego, Pierluigi
Lauree magistrali 2020 Consumer inertia and incumbency in the italian retail electricity market - Dragotto, Massimo
Lauree magistrali 2020 Corporate governance, gender and performance: an empirical analysis of italian banks - Martellato, Laura
Lauree magistrali 2017 Corruption and extremism: a theoretical approach - Righetto, Giovanni
Lauree magistrali 2019 Could Bitcoin be seen as a virtual commodity? An empirical analyis - Rossi, Alessia
Lauree magistrali 2016 Credit analysis and structural models to distressed corporate debt valuation: the Stefanel case - Minnucci, Giacomo
Lauree magistrali 2020 Credit booms and currency crises: the case of Turkey. - Caiapi, Andrea
Lauree magistrali 2020 Credit risk analysis with machine learning techniques in the PSD2 framework: the Buddybank case study - Canzian, Tommaso
Lauree magistrali 2020 Crypto-assets and decentralized finance - Civiero, Marco
Lauree magistrali 2017 Crypto-currency and blockchain: the revolution of the world economic system and digital identities - Decaro, Valerio
Lauree magistrali 2018 Cryptocurrencies and asset bubbles - Bedeschi, Eugenio
Lauree magistrali 2018 Cryptocurrencies to enhance portfolio performance: is it worth it? An analysis following Markowitz and risk-budgeting approaches. - Longhin, Federico
Lauree magistrali 2017 Currency hedging strategies in international portfolios - Milani, Andrea
Lauree magistrali 2020 Data analysis for bankruptcy prediction: the wholesale and retail sector in Italy. - Marchesini, Laura
Lauree magistrali 2021 Deep learning with long short-term memory for stock market predictions and portfolio optimization - Fiorentino, Felice
Mostrati risultati da 21 a 40 di 182
Legenda icone

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