Sfoglia per Correlatore
ALERT ALARM: A EUROPEAN REGULATORY RESPONSE TO THE FINANCIAL CRISIS
2020/2021 Tasca, Laura
Analisi delle performance degli Hedge Funds con stimatori robusti
2013/2014 Girotto, Michele
Analisi delle performance nell'industria degli hedge funds durante i periodi di crisi
2013/2014 Follador, Alberto
Analisi di contagio tramite il modello a cambiamento di regime di Markov
2014/2015 Zancai, Giovanni
Analisi empirica sull’efficienza del pricing dei Credit Default Swap nei mercati Bancari e Assicurativi.
2014/2015 Menegon, Chiara
Analisi VaR e CoVaR dell'indice SPY
2024/2025 Palmieri, Valeriano
The analysis of Credit Value Adjustment in theory and practice
2018/2019 Crosato, Alessia
Analysis of the cumulative volumes, a strategy to anticipate the market.
2015/2016 Mose, Matteo
Asymmetric information in loan contracts: A game-theoretic and statistical approach
2016/2017 Benvenuti, Francesco
Banche e Assicurazioni: indagine sull'efficienza del mercato dei Credit Default Swaps
2013/2014 Cisilotto, Andrea
Bayesian Networks and Financial Stress Testing - Assessing the Probability of Default for a Credit Institution
2019/2020 Carraro, Andrea
Between Integration and Denial: Navigating the ESG Flux in the United States.
2024/2025 Maso, Andrea
THE CAUSALITY BETWEEN INCOME INEQUALITY AND PRIVATE SECTOR INDEBTEDNESS
2017/2018 Mezuraj, Esiona
China's Monetary Policy and Treasury Bond Term Structure
2023/2024 Gregoletto, Sara
Chinese Monetary Policy and Corporate Bond Term Structure
2023/2024 Tidona, Giacomo
Climate Change and the Decarbonization of the Steel Industry
2023/2024 Pellumbi, Perparim
Corporate Venture Capital:Factors underlying the success of CVC-backed companies in Europe
2019/2020 Kostadinov, Aleksandar
The Corporate/Treasury Bond Spread In China
2022/2023 Golin, Stefano
Counterparty Credit Risk for OTC products and Credit Value Adjustment.
2017/2018 Sgambaro, Chiara
Credit Rating for Italian Private Companies using Machine Learning Algorithms
2020/2021 Melzi, Luca
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