Nr.AuthorsTitleYearLink
100Bertelli, B.; Di Lorenzo, E.; Roviello, A.; Torricelli, C.Who (and why) is still afraid of Reverse Mortgages? Results from survey in Italy2025 pdf
99Torricelli, C.; Brunetti, M.; Van Soest, A.The role of households in financing the move towards a sustainable economy: results from a survey in the Netherlands2025 pdf
98Bertelli, B.; Brunetti, M.; Torricelli, C.; Zoli, M.The role of households in financing the move towards a sustainable economy: results from a lab-in-the-field experiment in Italy2025 pdf
97Giarda, E.; Tomasini, S.; Tripodi, S.; Torricelli, C.Wages and labour mismatch in Italy: An investigation with PIAAC data2025 pdf
96di Bonaventura, L.; Morini, R.How Do Macro-Financial Factors Influence Asset Classes’ Performance? An Empirical Analysis2024 pdf
95Torricelli, C.; Torelli, A.Different approaches to integrate sustainability in corporate valuation2024 pdf
94Bertelli, B.; Kocollari, U.; Merzi, L.; Torricelli, C.Circularity and Default Probabilities: an empirical investigation based on the 3R principles2024 pdf
93Cipollini, A; Parla, F.Climate risk and investment in equities in Europe: a Panel SVAR approach2023 pdf
92Bonfatti, A.; Giarda, E.; Marotta, G.; responsabile collana Marotta, G.Energy price increases and mitigation policies: Redistributive effects on Italian households2023 pdf
91Brunetti, M; ; Ciciretti R., ; Gentile; M. ; Linciano N. ; Soccorso, P.Attitude towards financial planning of Italian households2022 pdf
90Brunetti, M.; De Luca, R.Sensitivity of profitability in cointegration-based pairs trading2022 pdf
89Brunetti, M.; De Luca, R.Pre-selection in cointegration-based pairs trading2022 pdf
88Torricelli, C.; Bertelli, B.ESG compliant optimal portfolios: The impact of ESG constraints on portfolio optimization in a sample of European stocks2022 pdf
87Torricelli, C.; Bertelli, B.ESG screening strategies and portfolio performance: how do they fare in periods of financial distress?2022 pdf
86Torricelli, C.; Ferrari, F.; Pederzoli, C.“Climate Stress Test: bad (or good) news for the market? An Event Study Analysis on Euro Zone Banks”2022 pdf
85Torricelli, Costanza; Pellati, EleonoraSocial bonds and the “social Premium”2022 pdf
84Brighi, P.; Della Bina, A. C. F.; Venturelli, V.Do ESG Investments Mitigate ESG Controversies? Evidence From International Data2022 
83Bertelli, B.; Boero, G.; Torricelli, C.The market price of greenness. A factor pricing approach for Green Bonds2022 pdf
82Iocca, M. G.; Ferretti, R.Le offerte pubbliche di acquisto in Italia a venti anni dal Testo unico della finanza (Tender offers in Italy twenty years after the unified finance law)2021 pdf
81Brunetti, M.; Giarda, E.; Torricelli, C.Financial fragility across Europe and the US: The role of portfolio choices, household features and economic-institutional setup2020 pdf
80Venturelli, V.; Gallo, G.; Pedrazzoli, A.Birds of a feather flock together and get money from the crowd2019 pdf
79Landi, A.; Sclip, A.; Venturelli, V.The effect of the Fed zero-lower bound announcement on bank profitability and diversification2019 pdf
78Arnaboldi, F.; Gioia, F.Portfolio choice: Evidence from new-borns2019 pdf
77Marotta, G.Behind the success of dominated personal pension plans: sales force and financial literacy factors2019 pdf
76Casabianca, E. J.; Giarda, E.; Marotta, G.; Marotta, G. non è autore ma Direttore della collana CEFINShort-term household income mobility before and after the Great Recession: A four-country study2019 pdf
75Pederzoli, C.; Torricelli, C.The impact of the Fundamental Review of the Trading Book: A preliminary assessment on a stylized portfolio2019 pdf
74Ferretti, R.; Pattitoni, P.; Castelli, A.Security-voting structure and equity financing inthe Banking Sector: ‘One Head-One Vote’ versus ‘One Share-One Vote’2019 pdf
73Bertocchi, G.; Brunetti, M.; Zaiceva, A.The Financial Decisions of Immigrant and Native Households: Evidence from Italy2018 pdf
72Marotta, GiuseppeWhy choosing dominated personal pension plans: sales force and financial literacy effects2018 pdf
71Pattarin, F.Spending Policies of Italian Banking Foundations2018 pdf
70Di Bonaventura, L.; Forni, M.; Pattarin, F.The Forecasting Performance of Dynamic Factor Models with Vintage Data2018 pdf
69Cipollini, A.; Parla, F.Housing Market Shocks in Italy: a GVAR Approach2018 pdf
68Cosma, S.; Pancotto, F.; Vezzani, P.Customer Complaining and Probability of Default in Consumer Credit2018 pdf
67Cosma, S.; Grasso, A. G.; Pagliacci, F.; Pedrazzoli, A.Is Equity Crowdfunding a Good Tool for Social Enterprises?2018 pdf
66Rossi, M. C.; Sansone, D.; Torricelli, C.; van Soest, A.Household preferences for Socially Responsible Investments2018 pdf
65Ferretti, R.; Gallo, G.; Landi, A.; Venturelli, V.Market-Book Ratios of European Banks: What Does Explain the Structural Fall?2018 pdf
64Baldini, M.; Gallo, G.; Torricelli, C.Past Income Scarcity and Current Perception of Financial Fragility2017 pdf
63Cosma, S.; Ferretti, R.; Gualandri, E.; Landi, A.; Venturelli, V.How Does Financial Market Evaluate Business Models? Evidence From European Banks2017 pdf
62Gallo, G.; Torricelli, C.; van Soest, A.Individual Heterogeneity and Pension Choices How to Communicate an Effective Message?2017 pdf
61Elyasiany, E.; Gambarelli, L.; Muzzioli, S.The Risk-Asymmetry Index2016 pdf
60Cotterli, S.Strumenti per il sostegno finanziario di famiglie e microimprese: il caso italiano (Policies to help financially vulnerable Italian households and micro-businesses)2016 pdf
59Ferretti, R.; Pancotto, F.; Rubaltelli, E.A test of the Behavioral versus the Rational model of Persuasion in Financial Advertising2016 pdf
58Cipollini, A.; Lo Cascio, I.; Muzzioli, S.Financial connectedness among European volatility risk premia2015 pdf
57Ferretti, Riccardo; Pattitoni, Pierpaolo; Salinas, AnnaThe effectiveness of insider trading regulations: The case of the Italian tender offers2015 pdf
56Altshuler, D.; Magni, C. A.Introducing Aggregate Return on Investment as a Solution to the Contradiction Between Some PME Metrics and IRR2015 pdf
55Giarda, E.; Moroni, G.; Marotta, G.; Marotta, G. non è autore ma Direttore della collana CEFIN‘It’s a trap!’ The degree of poverty persistence in Italy and Europe2015 pdf
54Pederzoli, C.; Torricelli, C.Systemic risk measures and macroprudential stress tests An assessment over the 2014 EBA exercise2015 pdf
53Rubaltelli, E.; Agnoli, S.; Rancan, M.; Pozzoli, T.Emotional Intelligence and risk taking in investment decision-making2015 pdf
52Brunetti, M.; Torricelli, C.Second homes: households’ life dream or (wrong) investment?2015 pdf
51Magni, C. A.Pseudo-naïve approaches to investment performance measurement2015 pdf
50Gualandri, E.; Noera, M.Monitoring systemic risk a survey of the avialiable macropridential toolkit2014 pdf
49Gualandri, E.; Noera, M.Towards A Macroprudential Policy In The EU: Main Issues2014 pdf
48Santantonio, M.; Torricelli, C.; Urzì Brancati, M. C.Does homeownership partly explain low participation in supplementary pension schemes?2014 pdf
47Magni, C. A.An average-based accounting approach to capital asset investments: The case of project finance (Working Paper)2014 pdf
46Torricelli, C.; Urzì Brancati, M. C.; Mirtolen, L.Should football coaches wear a suit? The impact of skill and management structure on Serie A Clubs’ performance2014 pdf
45Baldini, M.; Torricelli, C.; Urzì Brancati, M. C.Family ties: occupational responses to cope with a household income shock2014 pdf
44Cipollini, A.; Lo Cascio, I.; Muzzioli, S.Volatility co-movements: a time scale decomposition analysis2013 pdf
43Brighi, P.; Venturelli, V.The Effect of Revenue and Geographic Diversification on Bank Performance2013 pdf
42Cosma, S.; Gualandri, E.The sovereign debt crisis: the impact on the intermediation model of Italian banks2013 pdf
41Gualandri, E.; Venturelli, V.The financing of Italian firms and the credit crunch: findings and exit strategies2013 pdf
40Pederzoli, C.; Torricelli, C.Efficiency and unbiasedness of corn futures markets: New evidence across the financial crisis2013 pdf
39Mattioli, L.; Ferretti, R.La regolamentazione dello short selling: effetti sul mercato azionario italiano (Short selling ban: effects on the Italian stock market)2013 pdf
38Gianfelice, G.; Marotta, G.; Torricelli, C.A liquidity risk index as a regulatory tool for systemically important banks? An empirical assessment across two financial crises2013 pdf
37Marotta, G.Per un accesso sostenibile delle Pmi al credito (A sustainable access to credit for SMEs)2013 pdf
36Mucciarelli, F. M.The unavoidable persistence of forum shopping in the Insolvency Regulation2013 pdf
35Parmeggiani, F.Rating Triggers, Market Risk and the Need for More Regulation2012 pdf
34Bazzana, F.; Broccardo, E.; Hanedar, E. Y. Hanedar; Marotta, G.Collateral Requirements of SMEs: The Evidence from Less–Developed Countries2012 pdf
33Bertocchi, G.; Brunetti, M.; Torricelli, C.Is it money or brains? The determinants of intra-family decision power2012 pdf
32Brunetti, M.; Giarda, E.; Torricelli, C.Ia financial fragility a matter of illiqudity? An appraisal for Italian households2012 pdf
31Cosma, S.; Pattarin, F.Attitudes, personality factors and household debt decisions: A study of consumer credit2012 pdf
30Muzzioli, S.Corridor Implied Volatility and the Variance Risk Premium in the Italian Market2011 pdf
29Gualandri, E.; Mangone, E.; Stanziale, A.Internal Corporate Governance and the Financial Crisis: Lessons for Banks, Regulators and Supervisors2011 pdf
28Marotta, G.Are defined contribution pension schemes socially sustainable? A conceptual map from a macroprudential perspective2011 pdf
27Gualandri, E.Basel 3, Pillar 2: the role of banks’ internal governance and control function2011 pdf
26Ferretti, R.; Meles, A.Underpricing, wealth loss for pre-existing shareholders and the cost of going public: the role of private equity backing in Italian IPOs2011 
25Pederzoli, C.; Thoma, G.; Torricelli, C.Modelling credit risk for innovative firms: the role of innovation measures2011pdf 
24Cervellati, E. M.; Ferretti, R.; Pattitoni, P.Market Reaction to Second-Hand News: Attention Grabbing or Information Dissemination?2011 pdf
23Muzzioli, S.Towards a volatility index for the Italian stock market2010 pdf
22Pederzoli, C.; Torricelli, C.A parsimonious default prediction model for Italian SMEs2010 pdf
21Magni, C. A.Average Internal Rate of Return and investment decisions: A new perspective2010 pdf
20Muzzioli, S.The skew pattern of implied volatility in the DAX index options market2009pdf 
19Magni, C. A.Accounting and economic measures: An integrated theory of capital budgeting2009pdf 
18Mucciarelli, F. M.Exclusion of US-holders in cross-border takeover bids and the principle of equality in tender offers2009 pdf
17Torricelli, C.Models for household portfolios and life-cycle allocations in the presence of labour income and longevity risk2009 pdf
16Krink, T.; Mittnik, S.; Paterlini, S.Differential Evolution and Combinatorial Search for Constrained Index Traking2009 pdf
15Lyra, M.; J. Paha, J.; Paterlini, S.; Winker, P.Optimization Heuristics for Determining Internal Rating Grading Scales2009 pdf
14Cipollini, A.; Fiordelisi, F.The impact of bank concentration on financial distress: them case of the European banking system2009 pdf
13Gualandri, E.; Landi, A.; Venturelli, V.Financial Crisis and New Dimensions of Liquidity Risk: Rethinking Prudential Regulation and Supervision2009 pdf
12Marotta, G.Lending interest rate pass-through in the euro area. A data-driven tale2008 pdf
11Muzzioli, S.Option based forecasts of volatility: An empirical study in the DAX index options market2008 pdf
10Marotta, G.Structural breaks in the lending interest rate pass-through and the euro2008 pdf
9Castellani, S.; Pederzoli, C.; Torricelli, C.Indebtedness, macroeconomic conditions and banks’ loan losses: evidence from Italy2008 pdf
8Ferretti, R.; Pattarin, F.Is public information really public? The role of newspapers.2008 pdf
7Krink, T.; Paterlini, S.Differential Evolution for Multiobjective Portfolio Optimization2008 pdf
6Gualandri, E.; Venturelli, V.Assessing and measuring the equity gap and the equity requirements for innovative SMEs2008 pdf
5Bonollo, M.; Morandi, D.; Pederzoli, C.; Torricelli, C.Model risk and techniques for controlling market parameters2007 pdf
4Muzzioli, S.The relation between implied and realised volatility: are call options more informative than put options? Evidence from the DAX index options market2007 pdf
3Ferrari, D.; Paterlini, S.The Maximum Lq-Likelihood Method: an Application to Extreme Quantile Estimation in Finance2007 pdf
2Pederzoli, C.Default risk: Poisson mixture and the business cycle2007 pdf
1Brunetti, M.Population ageing, household portfolios and financial asset returns: A survey of the literature2007 pdf