Z

Bibliodb
ZZ


Per autore


Termine da cercare
in Bibliodb:



Ric. Avanzata



Pubblicazioni
per autore

Pubblicazioni per autori+abstract

Pubblicazioni per
argomento

Schede Autori

Informazioni

















Precedente Prossimo Comprimi Espandi


Hide details for Abrami, L.Abrami, L.

Abrami, L.
(1989) Gli strumenti finanziari e creditizi innovativi - Riflessi sul bilancio bancario;
Cedam, Padova.
Hide details for Abuaf, N.Abuaf, N.

Abuaf, N.
(1988) The Nature and Management of Foreign Exchange Risk;
in SternChew88, Oxford Blackwell, New York, pagg. 29-43.
Hide details for Acar, E.Acar, E.

Acar, E. - Prieul, D.
(1997) Expected Maximum Loss of Financial Returns;
in Net Exposure - The Electronic Journal of Financial Risk, nr. 1, October, pagg. 1-6.
Hide details for Acerbi, C.Acerbi, C.

Acerbi, C. - Nordio, C. - Sirtori, C.
(2001) L'expected shortfall come strumento per la misurazione dei rischi finanziari;
Abaxbank, Discussion Paper, Milano.
Hide details for Acharya, V.V.Acharya, V.V.

Acharya, V.V. - Hasan, I. - Saunders, A.
(2002) Should banks be diversified? Evidence from individual bank loan portfolios;
Bank for International Settlements, Working Papers, Basel, No. 118, September Web Download.

Acharya, V.V.
(2003) Is the International Convergence of Capital Adequacy Regulation Desirable?;
in Journal of Finance, vol. 58, nr. 6, pagg. 2745-2782.
Hide details for Acocella, N.Acocella, N.

Acocella, N.
(1994) Fondamenti di politica economica. Valori e tecniche;
La Nuova Italia Scientifica, Roma.
Hide details for Adachi, M.M.Adachi, M.M.

Adachi, M.M. - Jackson, P.
(1997) Information collection and disclosure;
in BankforInternationalSettlements97, Bank for International Settlements, Basle, pagg. 215-222.
Hide details for Adcock, C.Adcock, C.

Adcock, C.
(1992) Factor Friction;
in Risk, vol. 5, nr. 1, December 1991 - January 1992, pagg. 83-86.
Hide details for Adler, M.Adler, M.

Adler, M. - Dumas, B.
(1984) Exposure to Currency Risk: Definition and Measurement;
in Financial Management, Summer, pagg. 41-50.
Hide details for Admati, A.Admati, A.

Admati, A. - Pfleiderer, P.
(1988) A Theory of Intraday Patterns: Volume and Price Variability;
in Review of Financial Studies, vol. 1, pagg. 3-40.
Hide details for Aernoudt, R.Aernoudt, R.

Aernoudt, R.
(2003) Small- and Medium-Sized Enterprises;
in OECD03, OECD, Paris, pagg. 75-112.
Hide details for Aghion, P.Aghion, P.

Aghion, P. - Bolton, P.
(1992) An Incomplete Contract Approach to Financial Contracting;
in Review of Economic Studies, vol. 59, pagg. 473-494.

Aghion, P. - Bolton, P.
(1992) The Financial Structure of the Firm and the Problem of Control;
in European Economic Review, vol. 33, nr. 2-3, pagg. 286-293.
Hide details for AhmedAhmed

Al-Mudimigh - A. - Zairi - M. - Ahmed - A.M.
(2004) Extending the concept of supply chain: the effective management of value chains;
in International Journal of Production Economics, vol. 87, pagg. 309-320.
Hide details for Ahn, D.Ahn, D.

Ahn, D. - Boudoukh, J. - Richardson, M. - Whitelaw, R.
(1998) Optimal Risk Management Using Options;
in Journal of Finance, vol. 54, nr. 1, February.


Precedente Prossimo Comprimi Espandi