Articoli pubblicati da:
Nucera, FedericoRisultato della ricerca: (4 titoli )
The comovement between sovereign and bank credit risk during the financial crisis: the case of the Euro area |
Rivista bancaria. Minerva bancaria (1945) - 2012
How Much Does the Stock Market Risk Decline with the Investment Horizon? A Cross-Country Comparison |
Economic notes - 2014
Risk-managed 'momentum'strategy: the effect of leverage constraints |
Rivista bancaria. Minerva bancaria (1945) - 2017
I tassi di interesse negativi e la performance delle banche europee: alcune considerazioni preliminari |
Banche e banchieri - 2017