Dottorato di Ricerca in "Banca e Finanza"

Attività di ricerca - Research output

In questa pagina sono elencati gli articoli realizzati da dottorandi / dottori di ricerca in Banca e Finanza pubblicati su riviste internazionali.

 

 


Fiordelisi F. e Molyneux P. (2004), "Efficiency in the factoring industry", Applied Economics, 90, 947 – 959.
 


Fiordelisi F. (2007), "Shareholder value efficiency in banking", Journal of Banking and Finance, vol. 31, pp. 2151–2171
 


Gibilaro L. e Mattarocci G. (2007), "The selection of the discount rate in estimating the Loss Given Default",  Global Journal of Business Research, vol. 1, issue 2, pp. 15-35


Gandolfi G., Sabatini A. e Rossolini M. (2007),  "PID feedback controller used a tactical asset allocation tecnique: the G.A.M. model", Phisica A, vol. 383, pp. 71-78

Carretta A., Farina V., Fiordelisi F. e Schwizer P. (2008), "Corporate culture and performance in European banking", Journal of Financial Decision Making, vol. 4, n.2, pp. 21-32
 


De Leonardis D. e Rocci R. (2008), "Assessing the default risk by means of a discrete-time survival analysis approach", Applied Stochastic Models in Business and Industry, vol. 24, issue 4, pp. 291-306


Fiordelisi F. (2008), "Efficiency and shareholder return in banking”, International Journal of Banking, Accounting and Finance, vol. 1,  n. 2, pp.114-132


Giannotti C. e Mattarocci G. (2008), "Risk diversification in a real estate portfolio: evidence from the Italian market", Journal of European Real Estate Research, vol. 1, issue 3, pp. 214-234


Carretta A. e Nicolini G. (2009), Pricing the lease during the contract: an in-progress approach to lease evaluation, Managerial Finance, vol. 35, n. 10, pp. 841-859


Fiordelisi F. e Monferrà S. (2009), Measuring shareholder value in asset-based lending industries, Managerial Finance, vol. 35, n. 10, pp. 885-903
 


Giannotti C. e Gibilaro L. (2009), "Property market liquidity and real estate recovery procedures efficiency: Evidences from the Italian economic cycle", Journal of European Real Estate Research, vol. 2, issue 3, pp. 235-258


Giannotti C. e Mattarocci G. (2009), "How to evaluate risk for Italian real estate funds", Journal of European Real Estate Research, vol. 2, issue 2, pp. 132-150


Gibilaro L. e Mattarocci G. (2009), “Concentration in lending: commercial vs financial credits”, Academy of Banking Studies Journal, vol. 8, n. 1, pp. 39-60


Gibilaro L. e Mattarocci G. (2009), “Characteristics of the recovery process for small financial intermediaries: the case of Italian cooperative banks”, Academy of Banking Studies Journal, vol. 8, n. 2, pp. 75-94


Gibilaro L. e Mattarocci G. (2009), “Rating groups vs rating of group members: evidence from the Italian financial market”, Journal of Finance and Accountancy, vol. 2, pp. 91-108


Torna alla home page