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marina.brogi@uniroma1.it
Marina Brogi
Professore Ordinario
Struttura:
DIPARTIMENTO DI MANAGEMENT
E-mail:
marina.brogi@uniroma1.it
Pagina istituzionale corsi di laurea
Curriculum Sapienza
Pubblicazioni
Titolo
Pubblicato in
Anno
New but naughty. The evolution of misconduct in FinTech
INTERNATIONAL REVIEW OF FINANCIAL ANALYSIS
2024
Leveraging Digital Transformation in Risk Management
RISK MANAGEMENT MAGAZINE
2024
May board committees reduce the probability of financial distress? A survival analysis on Italian listed companies
INTERNATIONAL REVIEW OF FINANCIAL ANALYSIS
2023
Does the banks’ performance improve after share buybacks?
RISK MANAGEMENT MAGAZINE
2023
Be good to be wise: Environmental, Social, and Governance awareness as a potential credit risk mitigation factor
JOURNAL OF INTERNATIONAL FINANCIAL MANAGEMENT & ACCOUNTING
2022
Determinants of Insurance Companies’ ESG Awareness
CORPORATE SOCIAL RESPONSIBILITY & ENVIRONMENTAL MANAGEMENT
2022
NON-DAMAGE BUSINESS INTERRUPTION INSURANCE POLICIES DURING THE COVID-19 PANDEMIC
Economic Review: Journal of Economics and Business
2022
Ricordo di un Maestro: intervista doppia sul Professor Tancredi Bianchi
BANCARIA
2021
Metamorfosi della governance bancaria
RIVISTA BANCARIA. MINERVA BANCARIA
2021
Economia Sostenibile: Rischi e Opportunità per il Sistema Bancario Italiano
2021
Better safe than sorry. Bank corporate governance, risk-taking, and performance
FINANCE RESEARCH LETTERS
2021
Systemic risk measurement: bucketing global systemically important banks
ANNALS OF FINANCE
2021
Environmental, Social, Governance: Implications for businesses and effects for stakeholders
CORPORATE SOCIAL RESPONSIBILITY & ENVIRONMENTAL MANAGEMENT
2021
Application of the Merton model to estimate the probability of breaching the capital requirements under Basel III rules
ANNALS OF FINANCE
2020
ESG Data
Joint JRC - EBA workshop on Banking Regulation and Sustainability
2020
Market reaction to banks’ interim press releases: an event study analysis
THE JOURNAL OF MANAGEMENT AND GOVERNANCE
2020
Can governance help in making an IPO “successful”? New evidence from Europe
JOURNAL OF INTERNATIONAL FINANCIAL MANAGEMENT & ACCOUNTING
2020
Covid-19 e governance bancaria, Position paper XXII
RISK MANAGEMENT MAGAZINE
2020
Banche locali e ripresa economica: proporzionalità e vigilanza flessibile
BANCARIA
2020
Il ruolo della BCE e le dinamiche del settore bancario
RIVISTA DI POLITICA ECONOMICA
2020
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Progetti di Ricerca
Machine learning and digital risk management in banking
Covid-19 and Environmental Social and Governance (ESG) factors: the impact on companies and financial intermediaries
Through thick and thin: the role of bank corporate governance in risk taking after the great financial crisis. Lessons from distressed banks and precautionary recapitalisation in Italy prior to and under the BRRD.
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