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Giuseppe Torluccio
Giuseppe Torluccio
Prof. Banking and Finance, University of Bologna
在 unibo.it 的电子邮件经过验证
标题
引用次数
引用次数
年份
Credit rationing and relationship lending. Does firm size matter?
S Cenni, S Monferrà, V Salotti, M Sangiorgi, G Torluccio
Journal of Banking & Finance 53, 249-265, 2015
2112015
CEO power, government monitoring, and bank dividends
E Onali, R Galiakhmetova, P Molyneux, G Torluccio
Journal of Financial Intermediation 27, 89-117, 2016
1602016
Does gender diversity on banks' boards matter? Evidence from public bailouts
G Cardillo, E Onali, G Torluccio
Journal of Corporate Finance 71, 101560, 2021
1532021
COVID‐19, ESG investing, and the resilience of more sustainable stocks: Evidence from European firms
G Cardillo, E Bendinelli, G Torluccio
Business Strategy and the Environment 32 (1), 602-623, 2023
762023
Is relationship lending still a mixed blessing? A review of advantages and disadvantages for lenders and borrowers
A Duqi, A Tomaselli, G Torluccio
Contemporary Topics in Finance: A Collection of Literature Surveys, 249-296, 2019
692019
An analysis of the R&D effect on stock returns for European listed firms
A Duqi, R Mirti, G Torluccio
European Journal of Scientific Research 58 (4), 482-496, 2011
492011
Natural disasters and economic growth: The role of banking market structure
A Duqi, D McGowan, E Onali, G Torluccio
Journal of Corporate Finance 71, 102101, 2021
442021
Housing Affordability and Methodological Principles: An Application
G Torluccio, A Dorakh
International Research Journal of Finance and Economics, 2011
392011
Bank intermediation models and portfolio default rates: what’s the relation?
M Cotugno, V Stefanelli, G Torluccio
23rd Australasian finance and banking conference, 2010
342010
The Black–Litterman model: the definition of views based on volatility forecasts
A Duqi, L Franci, G Torluccio
Applied Financial Economics 24 (19), 1285-1296, 2014
302014
Mispricing and risk of R&D investment in European firms
A Duqi, A Jaafar, G Torluccio
The European Journal of Finance 21 (5), 444-465, 2015
282015
A comparison between capitalization-weighted and equally weighted indexes in the European equity market
E Bolognesi, G Torluccio, A Zuccheri
Journal of Asset Management 14, 14-26, 2013
282013
Relationship lending, default rate and loan portfolio quality
M Cotugno, V Stefanelli, G Torluccio
Applied financial economics 23 (7), 573-587, 2013
222013
Informal economy in Albania
M Toska, G Torluccio
Academic Journal of Interdisciplinary Studies, MCSER Publishing, Rome-Italy …, 2013
212013
Diversification, multimarket contacts and profits in the leasing industry
M Degl’Innocenti, C Girardone, G Torluccio
Journal of International Financial Markets, Institutions and Money 31, 231-252, 2014
202014
Can R&D expenditures affect firm market value? An empirical analysis of a panel of European listed firms
A Duqi, G Torluccio
Bank performance, risk and firm financing, 215-241, 2011
202011
Evidence on funding decisions by Italian SMEs: a self-selection model?
P Brighi, G Torluccio
Available at SSRN 1629988, 2007
192007
Market reaction to the expected loss model in banks
E Onali, G Ginesti, G Cardillo, G Torluccio
Journal of Financial Stability, 100884, 2021
122021
Il rapporto banca-impresa in Italia
S Monferrà, E Belli, A Caruso, S Cenni, M Cotugno, F Giordano, G Gobbi, ...
Bancaria Editrice, 2007
122007
Do capital buffers matter? Evidence from the stocks and flows of nonperforming loans
AF Cicchiello, M Cotugno, S Perdichizzi, G Torluccio
International Review of Financial Analysis 84, 102369, 2022
112022
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