ROGGI, OLIVIERO

ROGGI, OLIVIERO  

Scienze per l'Economia e l'Impresa  

Mostra records
Risultati 1 - 20 di 59 (tempo di esecuzione: 0.046 secondi).
Titolo Data di pubblicazione Autore(i) File
Altea 2006 O. Roggi; V. Cioli
Alternative Performance Measures: an assessment after ESMA Guidelines 2019 a. giannozzi, o. roggi, g. vittorioso, v. foglia manzillo
An evolutionary perspective on the concept of risk, uncertainty and risk management 2012 O.Roggi; O. Ottanelli
Are environmental, social and government factors incorporated in the credit ratings? 2023 Cioli, Valentina; Giannozzi, Alessandro; Pescatori, Lucrezia; Roggi, Oliviero
Basel II Associazioni 2007 O.Roggi; A. Giannozzi
Building SME rating. A comparison between accounting and non accounting model in the Italian market 2009 O Roggi; A. Giannozzi
Building SME rating. Is it necessary for lenders to monitoring financial statements of the borrowers? 2013 Oliviero Roggi; Alessandro Giannozzi; Edward Altman; Gabriele Sabato
Coco-bonds, conversion prices and risk shifting incentives. How does the conversion ratio affect management's behaviour? 2013 O. Roggi; A. Giannozzi; L. Mibelli
Company default and discriminant variables for SME 2015 Roggi, Oliviero; Giannozzi, Alessandro
Company distress in the fashion/textile industry. Questing for discriminant variables 2009 O Roggi; A. Giannozzi
Corporate green bond and stock price reaction 2021 CIOLI VALENTINA; GIANNOZZI ALESSANDRO; ROGGI OLIVIERO; LORENZO ANDREA COLONNA
Credit risk, default and borrowing costs 2015 Roggi, Oliviero; Giannozzi, Alessandro
Cross-Border M&A and Financial Performance: Empirical Evidence on Bidder/Target Companies 2020 Cioli, Valentina; Giannozzi, Alessandro; Ippoliti, Valentina; Roggi, Oliviero
Default risk and discriminant methodologies for SME 2015 Roggi, Oliviero; Giannozzi, Alessandro
Director networks, conduct and performance in the UK Closed-end Fund industry 1998 O. Roggi; D. Thomas
Elementi di Finanza Aziendale e Risk Management 2016 Damodaran, Aswath; Roggi, Oliviero
Estimating Default risk before and after the Basel II Capital Accord. A cross methodology approach on tuscany and italian (national) based companies 2005 O. ROGGI
Fair value disclosure, liquidity risk and stock returns 2013 Oliviero Roggi; Alessandro Giannozzi
Fair value disclosure, liquidity risk and stock returns 2015 Roggi, Oliviero; Giannozzi, Alessandro
Financial companies’ failures: early warning information from systematic and systemic risk measures, 2018 Alessandro Giannozzi, Oliviero Roggi, Fabrizio Cipollini, Fiammetta Menchetti