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3 Bibliografia-Per Id

textId info
MediocreditoCentrale95Mediocredito Centrale (1995),
Indagine sulle piccole e medie imprese manifatturiere,
Roma
MertonPerold93Merton, Robert C, Perold, AF (1993),
Theory of Risk Capital in Financial Firms,
in Journal of Applied Corporate Finance, 6, 3, Fall, 16-31
Meulbroek02Meulbroek, Lisa (2002),
Integrated Risk Management for the Firm: A Senior Manger's Guide,
Harvard Business School's Division of Research
Meulbroek02aMeulbroek, Lisa (2002a),
A Senior Manager's Guide to Integrated Risk Management,
in Journal of Applied Corporate Finance, 14, 4 56-70
MisaniTagliavini95Misani, N, Tagliavini, P (1995),
Rapporto risk management: indagine generale sul risk management in Italia,
EGEA, Milano
MooreCulverMasterman00Moore, James, Culver, Jay, Masterman, Bonnie (2000),
Risk Management for Middle Market Companies,
in Journal of Applied Corporate Finance, vol. 12, n.4, Winter,
Passamani01Passamani, Giuliana (2001),
Valutazione del rischio per le imprese dipendenti dal credito bancario,
presentato al Convegno intermedio "Processi e metodi statistici di valutazione" Società Italiana di Statistica, Roma, 4-6 giugno
Passamani01aPassamani, Giuliana (2001a),
Credit View in Italy: a Statistical Analysis,
mimeo
PatilSaigal02Patil,Samir, Saigal, Suneel (2002),
When Computers Learn to Talk: A Web Services Primer,
in The McKinsey Quarterly, Number 1, Web exclusive
PaulChoudhury01Paul-Choudhury, Sumit (2001),
Real Options and Strategic Business Risk,
http://www.erisk.com, October 2001
PaulChoudhury02Paul-Choudhury, Sumit (2002),
Converging Risk,
ERisk, 20 June
PeopleSoft02PeopleSoft (2002),
A New Architecture for Financial Planning,
PeopleSoft Leadership in Finance White Paper Series, February
PisaniPotrich01Pisani, Raoul, Potrich, Monica (2001),
Gli strumenti di Alternative Risk Transfer,
mimeo, versione preliminare, Dipartimento di informatica e studi aziendali, Università di Trento
PriceWaterhouse95PriceWaterhouse (1995),
Corporate Treasury Control and Performance Standards,
October
PriceWaterhouseCoopers02Price Waterhouse & Coopers (2002),
Italian Corporate Treasury Benchmarking Survey 2002,
in collaborazione con AITI
PricewatherhouseCoopers01PricewatherhouseCoopers (2001),
Risk Management: the gap between theory and practice,
RodgerPetch99Rodger, Chris, Petch, Jason (1999),
Uncertainty & Risk Analysis,
Business Dynamics, PricewaterhouseCoopers United Kingdom
Ruozi95Ruozi, R (1995),
La diffusione dell'innovazione finanziaria presso imprese non finanziarie di medie dimensioni,
Newfin, Milano
Shimko98Shimko, D (1998),
Cash before value,
in Risk, vol. 11, nr. 7, July, pag. 51.
Shimpi01Shimpi Prakash A (2001),
Integrating Corporate Risk Management,
Texere, London - New York
Shimpi02Shimpi, Prakash (2002),
Integrating Risk Management and Capital Management,
in Journal of Applied Corporate Finance, 14, 4, Winter, 27-40
Tagliani01Tagliani, Aldo (2001),
Numerical aspects of finite Hausdorff moment problem by maximum entropy approach,
Applied mathematics and computation, Vol. 118, n. 2-3, pp. 133-149
Tagliani01aTagliani, Aldo (2001a),
Recovering a probability density function from its Mellin transform,
Applied mathematics and computation, Vol. 118, n. 2-3, pp. 151-159
Tagliani01bTagliani, Aldo (2001b),
Discrete probability distributions and moment problem: numerical aspects,
Applied mathematics and computation, Vol. 119, n. 1, pp. 47-56
Tagliani01cTagliani, Aldo (2001c),
Entropy estimate of a probability density from its mellin transform,
Applied mathematics and computation, Vol. 123, n. 1, pp. 275-284
Tagliani01dTagliani, Aldo (2001d),
Numerical inversion of Laplace transform on the real line of probability density functions,
Applied mathematics and computation, Vol. 123, n. 1, pp. 285-299
TamboriniFiorentini01Tamborini, Roberto, Fiorentini, R (2001),
The monetary transmission mechanism in Italy: The credit channel and a missing ring,
Discussion Paper, Università di Trento, Dipartimento di Economia, n.4, Giornale degli Economisti, in corso di pubblicazione
TamboriniMoretto01Tamborini, Roberto, Moretto, Michele (2001),
Liquidity, firm value and bank long-term relationships,
mimeo, Social Science Research Network (SSRN), Banking and Financial Institutions
TheEconomist01The Economist (2001),
Outsourcing. Out of the Back Room,
November 29th
TheEconomist02The Economist (2002),
A Survey of the Real-Time Economy,
in The Economist, February 2nd
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