Sfoglia per Autore
Financial symmetry and moods in the market
2015-01-01 Savona, Roberto; Soumare, Maxence; Andersen, Jørgen Vitting
Debt Crisis Indicators of Emerging Markets versus Eurozone Economies
2015-01-01 Savona, Roberto; Vezzoli, Marika; Ciavolino, Enrico
Hedge Fund Performance
2016-01-01 Savona, Roberto
Mutual Fund Risk
2016-01-01 Savona, Roberto; Auleta, Oreste; Stefanini, Filippo
Corporate Default Prediction Model Averaging: A Normative Linear Pooling Approach
2016-01-01 Figini, Silvia; Savona, Roberto; Vezzoli, Marika
Danger Zones for Banking Crises in Emerging Markets
2016-01-01 Paolo, Manasse; Savona, Roberto; Vezzoli, Marika
Sovereign and Hedge Fund Systemic Risks
2016-01-01 Savona, Roberto; Ciavolino, Enrico
Danger Zones For The Financial System
2017-01-01 Manasse, Paolo; Savona, Roberto; Vezzoli, Marika
Mutual Funds Dynamics and Economic Predictors
2017-01-01 Savona, Roberto; Gianni, Amisano
Systemic Risk Tomography: Signals, Measurement and Transmission Channels
2017-01-01 Savona, Roberto; Billio, Monica; Loriana, Pelizzon
Systemic Risk: Measures and Warnings
2017-01-01 Billio, Monica; Pelizzon, Loriana; Savona, Roberto
Choosing and Combining the Right Trees From an Ensemble
2018-01-01 Sandri, Marco; Savona, Roberto; Vezzoli, Marika
Tail Dependence of Eurozone Sovereign CDS Spreads
2018-01-01 Arakelian, Veni; Savona, Roberto; Vezzoli, Marika
La misurazione e la valutazione della performance degli hedge fund
2019-01-01 Savona, Roberto
Anatomy of a Sovereign Debt Crisis: CDS Spreads and Real-Time Macroeconomic Data
2019-01-01 Alessi, Lucia; Balduzzi, Pierluigi; Savona, Roberto
Sovereign risk zones in Europe during and after the debt crisis
2019-01-01 Arakelian, Veni; Dellaportas, Petros; Savona, Roberto; Vezzoli, Marika
Le politiche di gestione delle diverse categorie di investitori istituzionali
2019-01-01 Basile, Ignazio Giorgio; Ferrari, Pierpaolo; Savona, Roberto
Taking the right course navigating the ERC universe
2019-01-01 Savona, Roberto; Orsini, Cesare
Dynamical Corporate Finance: An Equilibrium Approach
2021-01-01 Savona, Roberto; Sagliaschi, Umberto
Machine Learning for Financial Stability
2021-01-01 Alessi, Lucia; Savona, Roberto
Titolo | Data di pubblicazione | Autore(i) | File |
---|---|---|---|
Financial symmetry and moods in the market | 1-gen-2015 | Savona, Roberto; Soumare, Maxence; Andersen, Jørgen Vitting | |
Debt Crisis Indicators of Emerging Markets versus Eurozone Economies | 1-gen-2015 | Savona, Roberto; Vezzoli, Marika; Ciavolino, Enrico | |
Hedge Fund Performance | 1-gen-2016 | Savona, Roberto | |
Mutual Fund Risk | 1-gen-2016 | Savona, Roberto; Auleta, Oreste; Stefanini, Filippo | |
Corporate Default Prediction Model Averaging: A Normative Linear Pooling Approach | 1-gen-2016 | Figini, Silvia; Savona, Roberto; Vezzoli, Marika | |
Danger Zones for Banking Crises in Emerging Markets | 1-gen-2016 | Paolo, Manasse; Savona, Roberto; Vezzoli, Marika | |
Sovereign and Hedge Fund Systemic Risks | 1-gen-2016 | Savona, Roberto; Ciavolino, Enrico | |
Danger Zones For The Financial System | 1-gen-2017 | Manasse, Paolo; Savona, Roberto; Vezzoli, Marika | |
Mutual Funds Dynamics and Economic Predictors | 1-gen-2017 | Savona, Roberto; Gianni, Amisano | |
Systemic Risk Tomography: Signals, Measurement and Transmission Channels | 1-gen-2017 | Savona, Roberto; Billio, Monica; Loriana, Pelizzon | |
Systemic Risk: Measures and Warnings | 1-gen-2017 | Billio, Monica; Pelizzon, Loriana; Savona, Roberto | |
Choosing and Combining the Right Trees From an Ensemble | 1-gen-2018 | Sandri, Marco; Savona, Roberto; Vezzoli, Marika | |
Tail Dependence of Eurozone Sovereign CDS Spreads | 1-gen-2018 | Arakelian, Veni; Savona, Roberto; Vezzoli, Marika | |
La misurazione e la valutazione della performance degli hedge fund | 1-gen-2019 | Savona, Roberto | |
Anatomy of a Sovereign Debt Crisis: CDS Spreads and Real-Time Macroeconomic Data | 1-gen-2019 | Alessi, Lucia; Balduzzi, Pierluigi; Savona, Roberto | |
Sovereign risk zones in Europe during and after the debt crisis | 1-gen-2019 | Arakelian, Veni; Dellaportas, Petros; Savona, Roberto; Vezzoli, Marika | |
Le politiche di gestione delle diverse categorie di investitori istituzionali | 1-gen-2019 | Basile, Ignazio Giorgio; Ferrari, Pierpaolo; Savona, Roberto | |
Taking the right course navigating the ERC universe | 1-gen-2019 | Savona, Roberto; Orsini, Cesare | |
Dynamical Corporate Finance: An Equilibrium Approach | 1-gen-2021 | Savona, Roberto; Sagliaschi, Umberto | |
Machine Learning for Financial Stability | 1-gen-2021 | Alessi, Lucia; Savona, Roberto |
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