Content
October 2009, Volume 10
- 80-83 Board compensations and the new regulation of the Bank of Italy
by Michele S. Desario - 84-88 The first International Conference on External Data for Operational Risk
by Claudia Pasquini - 89-101 Loss given default: towards flexible and regulatory compliant approaches
by Fabio Salis & Alessandro Turri - 102-109 Compensation policies and HR management: a comparison between Italian and European banks
by Cristiana Minguzzi - 116-117 How do mutual fund brokers create value for investors?
by Carefin - 118-119 One day will be worth as two. How home banking and call centers are changing our life
by Ildegarda Ferraro
September 2009, Volume 9
- 2-4 The international financial crisis: new rules and future outlook
by Joseph E. Stiglitz - 6-16 Beyond the crisis: the «real» way, the financial way
by Mario Sarcinelli - 18-38 Why do banks securitize? Evidence from Italy
by Mariarosaria Agostino & Maria Mazzuca - 39-58 Increasing the efficiency of bond covenants: a proposal for the Italian market
by Flavio Bazzana & Marco Palmieri - 59-64 The amendments to the taxation of financial instruments
by Enzo Mignarri - 65-70 Public policies for SMEs: a comparison between different instruments
by Lorenzo Gai & Federico Ross - 71-75 Defining and managing conflict of interests in the financial markets
by Stefano Vincenzi - 76-87 Hedge fund and market risk: new concepts and models, beyond VaR
by Maria Debora Braga - 88-90 Islamic finance: myth or reality?
by Roberto Ruozi - 91-100 Gender policies in the Italian credit sector: towards equivalence
by Cristiana Minguzzi
July 2009, Volume 7
- 2-11 Banks, firms and the road for recovery
by Corrado Faissola - 12-15 A common responsibility respect to Italy
by Giulio Tremonti - 16-23 Credit, banks and the role of supervision
by Mario Draghi - 24-42 Financial crisis and new dimensions of liquidity risk: rethinking prudential regulation and supervision
by Elisabetta Gualandri & Andrea Landi & Valeria Venturelli - 43-55 Capital adequacy and capital regulation of Us credit unions
by John Goddard & Donald McKillop & John O.S. Wilson - 56-68 About the subprime crisis
by Giorgio Szego - 69-72 Financial innovation, opportunities and critical aspects
by Mario Sarcinelli - 73-80 New rules for a global financial system
by Michele Bagella & Paolo Paesani - 81-100 The european proposal to amend Vat treatment on financial services
by Salvatore Chiri & Fabrizio Borselli & Claudia Barsotti - 101-105 The creation of the world’s biggest asset manager
by Gino Gandolfi & Maria Cristina Arcuri - 106-111 Human resources and internationalization of Italian banking groups
by Fausto Orlando & Cristiana Minguzzi - 112-114 Giorgio Ambrosoli, here and now
by Andrea Resti
June 2009, Volume 6
- 53-56 Regulatory harmonisation and cooperation to overcome the crisis in Europe
by Lamberto Cardia
May 2009, Volume 5
- 2-20 Relationship banking: an old solution for the present crisis?
by Paola Bongini & Maria Luisa Di Battista & Laura Nieri
April 2009, Volume 4
- 2-20 The financial crisis:what to do now and how to prepare for the future
by Giuseppe Mussari & Alessandro Santoni & Stefano Dalle Mura
March 2009, Volume 3
- 3-22 The financial crisis and Economists' forecasting
by Ignazio Visco
February 2009, Volume 2
- 2-10 For a complete re-thinking of European surveillance structure: the ABI proposal
by Giuseppe Zadra
January 2009, Volume 01
- 3-19 The financial crisis and banks’ corporate governance models: implications and perspectives
by Reiner Masera - 25-30 The reform of the European Supervisory framework
by Mario Sarcinelli - 31-37 New rules and financial markets
by Fabrizio Saccomanni
November 2008, Volume 11
- 3-12 An economy with more rules, more capital, less debt and more transparency
by Mario Draghi - 13-21 The international financial crisis and the success factors of Italian banks and economy
by Corrado Faissola
October 2008, Volume 10
- 3-15 Financial crisis: which lessons for the supervisory authorities?
by Gualandri Elisabetta
July 2008, Volume 07
- 3-9 Ending the slowdown and struggle speculation and globalization, reasons of the crisis
by Giulio Tremonti
February 2008, Volume 2
- 2-23 Sub-prime crisis and financial innovation
by Paolo Mottura
November 2007, Volume 11
- 2-17 Understanding and measuring liquidity risk
by Andrea Resti & Andrea Sironi
June 2006, Volume 6
- 8-14 The evolution of Italian Firms: from the “Cina in Europe” to the new developing solutions
by Matteo Colaninno
February 2006, Volume 02
- 3-6 Bank mergers: the lesson from the experience
by Alessandro Profumo