Be good to be wise: Environmental, Social, and Governance awareness as a potential credit risk mitigation factor M Brogi, V Lagasio, P Porretta Journal of International Financial Management & Accounting 33 (3), 522-547, 2022 | 81 | 2022 |
Microfinance, EU Structural Funds and Capacity Building for Managing Authorities: a comparative analysis of European convergence regions GN Pes, P Porretta Springer Nature, 2015 | 20 | 2015 |
Credit risk management in bank. Impacts of IFRS 9 and Basel 3 P Porretta, A Letizia, F Santoboni Risk Governance & Control: Financial Markets & Institutions 10 (2), 29-44, 2020 | 13 | 2020 |
Microcredit guarantee funds in the Mediterranean: A comparative analysis P Leone, P Porretta Springer, 2014 | 11 | 2014 |
Credit guarantee institutions, performance and risk analysis: an experimental scoring P Leone, IC Panetta, P Porretta Bank Stability, Sovereign Debt and Derivatives, 115-160, 2013 | 11 | 2013 |
Measuring and managing operational risk: an integrated approach P Leone, P Porretta, M Vellella Springer, 2017 | 10 | 2017 |
SUSTAINABLE VS. NOT SUSTAINABLE COOPERATIVE BANKS BUSINESS MODEL: THE CASE OF GBCI AND THE AUTHORITY VIEW. P Porretta, A Benassi Risk Governance & Control: Financial Markets & Institutions 11 (1), 2021 | 7 | 2021 |
Guarantee funds in microfinance: a comparative analysis P Leone, P Porretta, S Leo Journal of Applied Finance & Banking, 161-199, 2013 | 7 | 2013 |
A comparative analysis of credit guarantee systems P Leone, P Porretta Credit Guarantee Institutions and SME Finance, 287-326, 2012 | 6 | 2012 |
Basilea 2: Occasione storica per superare lo schema di doppio legame tra banche e Pmi M Vincenzini, P Porretta Banche e Banchieri, 2005 | 6 | 2005 |
Le immagini della creazione del valore di impresa... e aneddoti bancari M Vincenzini, P Porretta Le immagini della creazione del valore di impresa... e aneddoti bancari, 91-350, 2004 | 5 | 2004 |
Implementation of basel and solvency risk assessment standards in banks and insurance companies of south-eastern europe countries S Kozarevic, E Kozarevic, P Porretta, F Santoboni Risk Assessment, 225-246, 2018 | 4 | 2018 |
Operational risk management: regulatory framework and operational impact P Leone, P Porretta Measuring and Managing Operational Risk: An Integrated Approach, 25-93, 2018 | 4 | 2018 |
Banks and young people in Italy: financial product, credit and other features P Porretta, F Santoboni Journal of Applied Finance and Banking 4 (3), 115, 2014 | 4 | 2014 |
Corporate insurance and debt capacity: empirical evidence from Italy F Santoboni, GA Vento, P Porretta Journal of Governance and Regulation/Volume 1 (4), 2012 | 4 | 2012 |
IS UNCONVENTIONAL MONETARY POLICY MEDIATED BY BANKS’LIQUIDITY AND SOLVENCY RATIOS? EVIDENCE FROM THE EUROPEAN BANKING SECTOR P Agnese, P Capuano, P Porretta Journal of Governance and Regulation/Volume 11 (4), 2022 | 3 | 2022 |
Basel IV: The challenge of II pillar for risk management function P Porretta, S Fabrizio Risk Management 57, 57-76, 2021 | 3 | 2021 |
The fundamental review of trading book: new standard approach and risk management impacts P Porretta, P Agnese Journal of Risk Management in Financial Institutions 14 (2), 209-219, 2021 | 3 | 2021 |
La sostenibilità del credito cooperativo oltre gli equilibri di gestione: la sfida del networking P Porretta, CD Capolupo Bancaria 9, 40-56, 2019 | 3 | 2019 |
European Significant Bank Stock Market Volatility. Is there a Bail-In Effect? P Leone, P Porretta, L Riccetti International Journal of Business and Management 14, 32-51, 2019 | 3 | 2019 |