Titolo |
Pubblicato in |
Anno |
Determinants of European Large Bank Ststock Market Volatility: Is There a Bail-In Effect? |
INTERNATIONAL JOURNAL OF BUSINESS AND MANAGEMENT |
2019 |
La Sustainability del sistema del credito cooperativo oltre gli equilibri di gestione. La Riforma e la sfida del networking |
BANCARIA |
2019 |
The effect of Implementing International Public Sector Accounting Standards on the Financial Reporting and Internal Control Systems in United Nations Agencies |
Proceedings of the International Conference on Industrial Engineering and Operations Management Pilsen |
2019 |
Credit risk management in bank: impacts of IFRS 9 |
Conference Proceedings, «6th Scientific Conference with International Participation “Economy of Integration” ICEI 2019», (E)Migration and competitiveness of Southeastern European Countries |
2019 |
Implementation of basel and solvency risk assessment standards in banks and insurance companies of south-eastern europe countries |
Risk Assessment |
2018 |
Introduction to the work and Operational Risk |
Measuring and Managing Operational Risk, |
2018 |
Operational Risk Management: regulatory framework and operational impact |
Measuring and Managing Operational Ris |
2018 |
Almost concluding thoughts between a comparative analysis and a sensitivity analysis. Look over the regulatory view |
Measuring and Managing Operational Risk |
2018 |
Evoluzione del framework di Credit Risk Management in banca tra IFRS 9 e Basilea 3 |
BANCARIA |
2018 |
Efficiently” Operational Risk Measurement beyond SMA approach: a comparative and sensitivity analysis |
JOURNAL OF FINANCIAL MANAGEMENT, MARKETS AND INSTITUTIONS |
2018 |
EU cohesion policy and micro-finance |
Microfinance, EU Structural Funds and Capacity Building for Managing Authorities: A Comparative Analysis of European Convergence Regions |
2016 |
Micro-finance and capacity building in the EU policy |
Microfinance, EUstructural funds and capacity building for managing authorities: a comparative analysis of european convergence regions |
2016 |
Financial crises and EU credit access policy |
Microfinance, EU structural funds and capacity building for managing authorities |
2016 |
Capapcity building surveys |
Microfinance, EU structural funds and capacity building for managing authorities. A comparative Analysis of european convergence regions |
2016 |
OTC derivatives and counterparty credit risk mitigation. The OIS discounting framework |
Liquidity risk, efficiency and new bank business models |
2016 |
La misurazione del market liquidity risk: l’aggiustamento delle misure VAR |
BANCARIA |
2016 |
ILAAP e il governo dei rischi in banca: prescrizioni regolamentari e prassi operative, |
Il governo dei rischi in banca nuove tendenze e nuove sfide |
2016 |
Il governo dei rischi in banca nuove tendenze e nuove sfide |
|
2016 |
Fare Assicurazione “Solvency II compliant”. Implicazioni regolamentari, organizzative e di governance, |
Fare Assicurazione “Solvency II compliant”. Implicazioni regolamentari, organizzative e di governance, |
2016 |
Liquidity ratio e liquidity pillar II, prescrizioni regolamentari e impatti gestionali nelle banche |
Liquidity Ratio e Liquidity Pillar II, Prescrizioni regolamentari e impatti gestionali nelle banche, |
2016 |