Sfoglia per Correlatore STOCCO, DAVIDE
Mostrati risultati da 1 a 11 di 11
Analisi dei portafogli azionari tramite grafi finanziari filtrati: meglio investire nelle azioni periferiche
2022/2023 GALLOTTI, CECILIA
ESG rating and tail dependence
2021/2022 CAVARZERAN, ALBERTO
ESG scores and stocks' left-tail risk: conditional drivers and similarities in the Euro Stoxx 600 through a multi-layer approach
2024/2025 MASPES, MARCO
Financial markets reaction to recent crises: a novel approach involving node embeddings and clustering techniques
2021/2022 Marcosignori, Lucrezia
Graph embedding for climate risk hedging: a node2vec-based approach
2022/2023 Pocelli, Maria Chiara
Integrating ESG factors into Capital Asset Pricing Model: ESG uncertainties and ESG betas
2022/2023 De NARDO, ANNARITA
Network analysis of listed Italian companies
2020/2021 SCHIRALDI, ALESSANDRO
On the relationship between ownership structure and corporate governance among Italian listed firms : a multi-layer network approach
2020/2021 FIORE, ELOISA
Physical risk estimation: a firm value model approach
2023/2024 Ghesini, Matteo
Relationships between interlocking directorates and governance mechanism : a multiplex network analysis
2021/2022 FIGURIELLO, JACOPO
Uncovering the pillars of ESG ratings: a study of feature selection and score integrity
2023/2024 FERRO, ANDREA
Mostrati risultati da 1 a 11 di 11
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