POLIZZI, Salvatore

POLIZZI, Salvatore  

Scienze Economiche, Aziendali e Statistiche  

Mostra records
Risultati 1 - 15 di 15 (tempo di esecuzione: 0.04 secondi).
Data di pubblicazione Titolo Autori Tipologia Autore(i) File
1-gen-2021 Centralised or decentralised banking supervision? Evidence from European banks Polizzi S. + 01 - Contributo in rivista::1.01 Articolo in rivista Avignone G.; Altunbas Y.; Polizzi S.; Reghezza A.
1-gen-2021 Così Funziona a Wall Street Salvatore PolizziEnzo Scannella 01 - Contributo in rivista::1.01 Articolo in rivista Salvatore Polizzi; Enzo Scannella
1-gen-2019 Credit Risk Disclosure Practices in the Annual Financial Reporting of Large Italian Banks Scannella, EPolizzi, S 02 - Contributo in volume::2.01 Capitolo o Saggio Scannella, E; Polizzi, S
1-gen-2020 A critical re-examination of the academic literature on venture capital networks Polizzi, Salvatore 01 - Contributo in rivista::1.01 Articolo in rivista Polizzi, Salvatore
1-gen-2019 Do Large European Banks Differ in their Derivative Disclosure Practices? A Cross-country Empirical Study. Scannella, EPolizzi, S 01 - Contributo in rivista::1.01 Articolo in rivista Scannella, E; Polizzi, S
1-gen-2020 An empirical investigation into market risk disclosure: is there room to improve for Italian banks? Polizzi S.Scannella E. 01 - Contributo in rivista::1.01 Articolo in rivista Polizzi S.; Scannella E.
1-gen-2021 Essays on Risk Disclosure: Evidence from the Banking Industry POLIZZI, Salvatore 04 - Tesi di dottorato::4.2 Tesi di dottorato -
1-gen-2022 European Banking Union and bank risk disclosure: the effects of the Single Supervisory Mechanism Polizzi S.Scannella E. + 01 - Contributo in rivista::1.01 Articolo in rivista Altunbas Y.; Polizzi S.; Scannella E.; Thornton J.
1-gen-2021 How to measure bank credit risk disclosure? Testing a new methodological approach based on the content analysis framework Scannella, EPolizzi, S 01 - Contributo in rivista::1.01 Articolo in rivista Scannella, E; Polizzi, S
1-gen-2020 Indicatori Chiave Per L’IA: il Metodo Bankitalia Salvatore Polizzi + 01 - Contributo in rivista::1.01 Articolo in rivista Alberta Menicucci, Fabio Lupo, Marco Massetti, João F. Aleluia, Salvatore Polizzi
1-gen-2018 Market risk disclosure in banking: an empirical analysis on four global systemically important European banks Scannella, EPolizzi, S 01 - Contributo in rivista::1.01 Articolo in rivista Scannella, E; Polizzi, S
1-gen-2017 Market risk reporting in banking overcoming the limits of IAS/IFRS and Basel regulation Salvatore Polizzi 01 - Contributo in rivista::1.01 Articolo in rivista Salvatore Polizzi
1-gen-2022 A qualitative analysis of bank credit risk disclosure: Evidence from the Canadian and Italian banking sectors Polizzi SalvatoreScannella Enzo + 01 - Contributo in rivista::1.01 Articolo in rivista Lajili Kaouthar, Mohsni Sana, Polizzi Salvatore, Scannella Enzo
1-gen-2022 Risk Disclosure in the European Banking Industry: Qualitative and Quantitative Content Analysis Methodologies Salvatore Polizzi 03 - Monografia::3.1 Monografia Salvatore Polizzi
1-gen-2020 The Role of Capital and Liquidity in Bank Lending: Are Banks Safer? Scannella EPolizzi S + 01 - Contributo in rivista::1.01 Articolo in rivista Scannella E; Polizzi S; Suarez N