Titolo |
Pubblicato in |
Anno |
Transforming Credit Guarantee Schemes with Distributed Ledger Technology |
Navigating the Technological Tide: The Evolution and Challenges of Business Model Innovation |
2024 |
Systemic Cyber Risk in the Financial Sector: Can Network Analysis Assist in Identifying Vulnerabilities and Improving Resilience? |
Systemic Risk and Complex Networks in Modern Financial Systems |
2024 |
Systemic Risk and Network Science: A Bibliometric and Systematic Review |
Systemic Risk and Complex Networks in Modern Financial Systems |
2024 |
Corporate financial performance and ESG performance: which one leads European banks? |
Contemporary Issues in Sustainable Finance. Exploring Performance, Impact Measurement and Financial Inclusion |
2023 |
Il posizionamento degli intermediari nel metaverso: a metà strada tra presente e futuro |
Tributi, economia e diritto nel Metaverso |
2023 |
The Role of Distributed Ledger Technology in Banking. From Theory to Practice |
|
2023 |
The Banking in the Era of Distributed Ledgers |
The Role of Distributed Ledger Technology in Banking. From theory to practice |
2023 |
A Look into the Intermediaries of the Metaverse. Halfway between the Present and the Future |
The Role of Distributed Ledger Technology in Banking. From theory to practice |
2023 |
The DLT Landscape in Banking. Key Features of Prominent Use Cases through Strengths and Weaknesses |
The Role of Distributed Ledger Technology in Banking. From theory to practice |
2023 |
The regulators’ dilemma and the global banking regulation: the case of the dual financial systems |
JOURNAL OF BANKING REGULATION |
2022 |
Sukuk and green bonds’ role in global macro portfolio diversification: evidence from covid-19 crisis |
QUADERNI DEL DIPARTIMENTO JONICO - SYSTEMIC RISK, MONETARY POLICY AND PORTFOLIO DIVERSIFICATION IN THE GREAT CRISES’ ERA |
2022 |
Systemic Risk and Network Science: a Bibliometric Literature Review to Set Future Research Agenda |
Systemic Risk, Monetary Policy and Portfolio Diversification in the Great Crises’ Era |
2022 |
Systemic Risk, Monetary Policy and Portfolio Diversification in the Great Crises’ Era |
|
2022 |
INTRODUCTION |
Systemic Risk, Monetary Policy and Portfolio Diversification in the Great Crises’ Era |
2022 |
Why Are M-Payment Platforms So Attractive? M-Payment as the Entry Level to the Digital Financial Era |
Social and Economic Studies within the Framework of Emerging Global Developments, Volume -1 |
2022 |
The development of digital payments – past, present, and future – from the literature |
RESEARCH IN INTERNATIONAL BUSINESS AND FINANCE |
2022 |
Banks and environmental, social and governance drivers: Follow the market or the authorities? |
CORPORATE SOCIAL RESPONSIBILITY & ENVIRONMENTAL MANAGEMENT |
2021 |
The impact of the Blockchain technology on the global Sukuk industry: smart contracts and asset tokenisation |
TECHNOLOGY ANALYSIS & STRATEGIC MANAGEMENT |
2021 |
Green Bond: A Systematic Literature Review for Future Research Agendas |
JOURNAL OF RISK AND FINANCIAL MANAGEMENT |
2021 |
Islamic stock market versus conventional: Are Islamic investing a ‘Safe Haven’ for investors? A systematic literature review |
PACIFIC-BASIN FINANCE JOURNAL |
2020 |