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Flavio Bazzana
Flavio Bazzana
在 unitn.it 的电子邮件经过验证
标题
引用次数
引用次数
年份
Collateral requirements of SMEs: The evidence from less-developed countries
EY Hanedar, E Broccardo, F Bazzana
Journal of banking & finance 38, 106-121, 2014
1382014
The effect of market power on bank risk taking in Turkey
E Yaldiz, F Bazzana
Financial Theory and Practice 34 (3), 297-314, 2010
582010
Why do SMEs use informal credit? A comparison between countries
EY Hanedar, Y Altunbas, F Bazzana
Journal of Financial Management, Markets and Institutions 2 (1), 65-86, 2014
382014
Determinants of informal credit use: A cross country study
E Yaldiz, Y Altunbas, F Bazzana
Midwest Finance Association 2012 Annual Meetings Paper, 2011
212011
L'efficienza gestionale dei confidi. Un'analisi empirica
F Bazzana
Banca Impresa Società 25 (1), 133-0, 2006
172006
On the impact of average speed enforcement systems in reducing highway accidents: Evidence from the Italian Safety Tutor
M Borsati, M Cascarano, F Bazzana
Economics of transportation 20, 100123, 2019
152019
The covenant threshold in public and private debt
F Bazzana, E Broccardo
Banca Impresa Societā 32 (1), 3-24, 2013
14*2013
Simulation of ECB decisions and forecast of short term Euro rate with an adaptive fuzzy expert system
L Rizzi, F Bazzana, N Kasabov, M Fedrizzi, L Erzegovesi
European Journal of Operational Research 145 (2), 363-381, 2003
142003
How does HFT activity impact market volatility and the bid-ask spread after an exogenous shock? An empirical analysis on S&P 500 ETF
F Bazzana, A Collini
The North American Journal of Economics and Finance 54, 101240, 2020
132020
How to increase the efficiency of bond covenants: a proposal for the Italian corporate market
F Bazzana, M Palmieri
European journal of law and economics 34, 327-346, 2012
112012
The role of covenants in bond issue. The case of Russian companies
F Bazzana, A Zadorozhnaya, R Gabriele
Emerging Markets Review 36, 1-18, 2018
102018
I covenants nei contratti di debito. Esistenza, condizioni di efficacia e prezzo
F Bazzana
Carocci, 2008
102008
Il rischio sistemico in finanza: una rassegna dei recenti contributi in letteratura
F Bazzana, F Debortoli
Università degli Studi di Trento Alea Tech Report 17, 1-74, 2002
102002
Can domestic trade credit insurance contracts be effective collateral for banks? A quantitative study of the Italian market
F Bazzana, G De Laurentis, R Pisani, R Trinca Colonel
The European Journal of Finance 26 (13), 1239-1252, 2020
62020
Collateral in emerging economies
EY Hanedar, E Broccardo, F Bazzana
Emerging markets and the global economy: A handbook, 383-411, 2014
62014
Prospettive dei Consorzi di garanzia fidi nella provincia di Trento: Strategia, assetto societario e organizzativo, operatività
L Erzegovesi, F Bazzana, M Potrich
Camera di Commercio IAA di Trento, 2002
52002
I modelli interni per la valutazione del rischio di mercato secondo l'approccio del Value at Risk
F Bazzana
University of Trento, 2001
52001
Identification of high-frequency trading: A machine learning approach
M Goudarzi, F Bazzana
Research in International Business and Finance 66, 102078, 2023
32023
The stability of the financial system: an analysis of the determinants of Russian bank failures
V Tankoyeva, F Bazzana, R Gabriele
Research Handbook of Investing in the Triple Bottom Line, 114-134, 2018
32018
Bondholder’s Trustee
F Bazzana
Encyclopedia of Law and Economics, 2014
32014
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