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Italian Abstract: Il paper indaga la relazione tra l'adozione di buone pratiche di gestione del rischio e la performance e la rischiosità delle banche italiane. In particolare, l'obiettivo della ricerca è capire se una risk governance strutturata possa aiutare le banche ad aumentare la propria...
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The aim of this paper is to investigate the role of the initial capital structure in the success and duration of entrant manufacturing start-ups. We select all the Italian manufacturing companies incorporated in the database Aida Bureau van Dijk in 2009; we include financial variables such as...
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1. Introduction by the Editors -- Part I. Financial Institutions and the Evolution of European Market and Policy Framework -- 2. ECB and FED Governors’ Speeches: A Topic Modeling Analysis (2007-2019) -- 3. Analyzing Policy Options in the Resolution of Systemically Important Banks: Comparing...
Persistent link: https://www.econbiz.de/10012399661
The paper provides a comprehensive model of trust formation in financial advisory using a dataset of 1,184 Italian advisors that differ across some specific characteristics (bank advisors or tied agents, market maturity of the bank/institution they work for, classified as new player or...
Persistent link: https://www.econbiz.de/10014033428
Chapter 1: Financial risk tolerance: where does it all start from? -- Chapter 2: Risk tolerance tools: from academia to regulation and back -- Chapter 3: Challenges and opportunities in the regulation of financial instruments post Mifid2 – Sustainable finance -- Chapter 4: The digital...
Persistent link: https://www.econbiz.de/10013386110
The pandemic caused by the Covid-19 virus has severely impacted the real estate industry. The research investigates the relationship between the spread of the virus and REITs performances in Europe, considering the role played by localization and diversification of properties in the real estate...
Persistent link: https://www.econbiz.de/10014254761
We aim to investigate the impact of the adoption of an Enterprise Risk Management (ERM) system on the enterprise value and to discover which are the determinants of this choice. Several economic actors have decided to face the current economic and financial complexity shifting from a Traditional...
Persistent link: https://www.econbiz.de/10010684589
This research investigates whether the financial literacy of individuals influences risk taking decisions and diversification behavior. This issue is relevant in that investors are increasingly in charge of their own financial security, but they have to deal with financial instruments whose...
Persistent link: https://www.econbiz.de/10010823059