SIRONI, ANDREA
Dettaglio
SIRONI, ANDREA
Dipartimento di Finanza
Pubblicazioni
Risultati 1 - 20 di 26 (tempo di esecuzione: 0.001 secondi).
Titolo | Data di pubblicazione | Autore(i) | Rivista | Editore | |
---|---|---|---|---|---|
1 | Applying Credit Risk Models to Deposit Insurance Pricing: Empirical Evidence from the Italian Banking System | 2004 | Sironi, Andrea; C., Zazzara | JOURNAL OF INTERNATIONAL BANKING LAW AND REGULATION | |
2 | Banking industry | 2013 | Sironi, Andrea; Venzin, Markus | Palgrave Macmillan | |
3 | Breaking up the bank: alternative proposals to separate banking activities | 2014 | Gabbi, Giampaolo; Sironi, Andrea | RIVISTA DI POLITICA ECONOMICA | |
4 | Comprendere e misurare il rischio di liquidità | 2007 | Resti, ANDREA CESARE; Sironi, Andrea | BANCARIA | |
5 | Defining LGD: the Basel Perspective | 2005 | Resti, ANDREA CESARE; Sironi, Andrea | Risk Books | |
6 | Informazione, azione e controllo: i cardini della leadership | 2012 | Corbetta, GUIDO GIUSEPPE; S., Lissner; Provasoli, Angelo; F., Saccomanni; Sironi, Andrea; P., Solbes; Tabellini, Guido | EGEA S.P.A — Milano | |
7 | Interest Rate Risk on the Banking Book | 2008 | Resti, ANDREA CESARE; Sironi, Andrea | RiskBooks | |
8 | Loss Given Default - A Review of the Literature | 2005 | E. I., Altman; Resti, ANDREA CESARE; Sironi, Andrea | Risk Books | |
9 | Loss Given Default and Recovery Risk: From Basel II Standards to Effective Risk Management Tools | 2007 | Resti, ANDREA CESARE; Sironi, Andrea | Risk Books | |
10 | Loss Given Default and Recovery Risk: From Basel II Standards to Effective Risk Management Tools | 2003 | Resti, ANDREA CESARE; Sironi, Andrea | Risk Books | |
11 | Ownership structure, risk and performance in the European banking industry | 2007 | Iannotta, GIULIANO ORLANDO; Nocera, Giacomo; Sironi, Andrea | JOURNAL OF BANKING & FINANCE | Elsevier BV:PO Box 211, 1000 AE Amsterdam Netherlands:011 31 20 4853757, 011 31 20 4853642, 011 31 20 4853641, EMAIL: nlinfo-f@elsevier.nl, INTERNET: http://www.elsevier.nl, Fax: 011 31 20 4853598 |
12 | Rating interni e controllo del rischio di credito | 2004 | DE LAURENTIS, Giacomo; Saita, Francesco; Sironi, Andrea | Bancaria Editrice | |
13 | Recovery Risk - The next Challenge in Credit Risk Management | 2005 | E. I., Altman; Resti, ANDREA CESARE; Sironi, Andrea | Risk Books | |
14 | Strengthening Banks’ Market Discipline and Leveling the Playing Field: Are the Two Compatible? | 2002 | Sironi, Andrea | JOURNAL OF BANKING & FINANCE | Elsevier BV:PO Box 211, 1000 AE Amsterdam Netherlands:011 31 20 4853757, 011 31 20 4853642, 011 31 20 4853641, EMAIL: nlinfo-f@elsevier.nl, INTERNET: http://www.elsevier.nl, Fax: 011 31 20 4853598 |
15 | Testing for Market Discipline in the European Banking Industry: Evidence from Subordinated Debt Issues | 2003 | Sironi, Andrea | JOURNAL OF MONEY, CREDIT, AND BANKING | Ohio State University Press:1070 Carmack Road, 180 Pressey Hall:Columbus, OH 43210:(614)292-1407, (614)292-1407, EMAIL: moffett.8@osu.edu, ohiostatepress@osu.edu, INTERNET: http://www.ohiostatepress.org, Fax: (614)292-2065 |
16 | The Impact of Government Ownership on Bank Risk | 2013 | Iannotta, GIULIANO ORLANDO; Nocera, Giacomo; Sironi, Andrea | JOURNAL OF FINANCIAL INTERMEDIATION | |
17 | The impact of government ownership on banks' ratings: evidence from the European banking industry | 2008 | Iannotta, GIULIANO ORLANDO; Nocera, Giacomo; Sironi, Andrea | CAREFIN | |
18 | The New Basel Accord: Implications for Italian Banks | 2003 | Sironi, Andrea; C., Zazzara | REVIEW OF FINANCIAL ECONOMICS | Elsevier Science Incorporated / NY Journals:Madison Square Station, PO Box 882:New York, NY 10159:(212)633-3730, EMAIL: usinfo-f@elsevier.com, INTERNET: http://www.elsevier.com, Fax: (212)633-3680 |
19 | The PD/LGD link: Empirical Evidence from the Bond Market | 2005 | E. I., Altman; B., Brady; Resti, ANDREA CESARE; Sironi, Andrea | Risk Books | |
20 | The PD/LGD link: Implications for Credit Risk Modeling | 2005 | E. I., Altman; Resti, ANDREA CESARE; Sironi, Andrea | Risk Books |