Pasqualina Porretta

Pubblicazioni

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

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