- Settori Scientifico-Disciplinari MIUR (8863)
- Area 13 - Scienze economiche e statistiche (412)
- SECS-P/11 - Economia degli intermediari finanziari (12)
- Area 13 - Scienze economiche e statistiche (412)
C
Cicchiello, Antonella Francesca (2018) Exploring the equity crowdfunding phenomenon: An analysis of regulations, tax incentives, and the fight against corruption. [Tesi di dottorato]
Cocozza, Rosa, De Feo, Donato, Di Lorenzo, Emilia and Sibillo, Marilena (2005) On the financial risk factor in fair valuation of the mathematical provision. In: 36th International ASTIN Colloquium, 4-7 sett 2005, Zurich, Switzerland.
Cocozza, Rosa, Di Lorenzo, Emilia and Sibillo, Marilena (2007) The Current Value of the Mathematical Provision: A Financial Risk Prospect. [Pubblicazione in rivista scientifica]
D
De Simone, Antonio (2013) A Two-Factor Binomial Model for Pricing Hybrid Securities: A Simplified Approach. [Tesi di dottorato]
Di Maggio, Marco (2014) Essays on Financial Intermediation. [Tesi di dottorato]
G
Gallo, Angela (2009) Risk Management and Supervision for Pension Funds: critical implementation of ALM Models. [Tesi di dottorato] (Unpublished)
H
Hossain, Shahadat (2018) High Frequency Trading, Market Fragmentation and Market Quality: An EU Market Evidence. [Tesi di dottorato]
P
Pandolfi, Lorenzo (2017) Public Policies and Incentives in Banking and Education. [Tesi di dottorato]
Piccolo, Giovanni (2013) Coupon Bonds and Liquidation Triggers: A Real Option Approach. [Tesi di dottorato]
R
Reito, Francesco (2006) Policy interventions in a credit market with imperfect information. [Tesi di dottorato] (Unpublished)
V
Visconti, Raffaele (2009) IL MERCATO ALTERNATIVO DEL CAPITALE. [Tesi di dottorato] (Unpublished)
X
Xella, Giuseppe (2011) “La valutazione comparata delle opzioni strutturate: un applicazione al caso delle Outside barrier options e delle correlation digital options". [Tesi di dottorato] (Unpublished)