Takip et
Elisa CAVEZZALI
Elisa CAVEZZALI
unive.it üzerinde doğrulanmış e-posta adresine sahip
Başlık
Alıntı yapanlar
Alıntı yapanlar
Yıl
Does it pay to be sustainable? Looking inside the black box of the relationship between sustainability performance and financial performance
N Hussain, U Rigoni, E Cavezzali
Corporate Social Responsibility and Environmental Management 25 (6), 1198-1211, 2018
2722018
The effect of the enterprise risk management implementation on the firm value of European companies
GS Bertinetti, E Cavezzali, G Gardenal
Department of Management, Università Ca'Foscari Venezia Working Paper, 2013
1952013
Know your client! Investor profile and tailor‐made asset allocation recommendations
E Cavezzali, U Rigoni
Journal of Financial Research 35 (1), 137-158, 2012
212012
Risk governance and performance of the Italian banks: An empirical analysis
E Cavezzali, G Gardenal
Department of Management, Università Ca'Foscari Venezia Working Paper, 2015
142015
Risk taking, diversification behavior and financial literacy of individual investors
E Cavezzali, G Gardenal, U Rigoni
Università Ca'Foscari Department of Management Venezia Working Paper, 2012
122012
The Integrated reporting and the conference calls content
E Cavezzali, N Hussain, U Rigoni
Integrated reporting: A new accounting disclosure, 231-252, 2016
92016
The Content of Reports on Italian Stocks: Do Evaluation Methods Matter?
GS Bertinetti, E Cavezzali, U Rigoni
Available at SSRN 926043, 2006
72006
Risk taking behaviour and diversification strategies: Do financial literacy and financial education play a role?
E Cavezzali, G Gardenal, U Rigoni
Journal of Financial Management, Markets and Institutions 3 (1), 121-156, 2015
52015
Report degli analisti e impatto delle variazioni delle raccomandazioni e dei target price: evidenze sul mercato italiano
E Cavezzali, EM Cervellati, P Pattitoni, U Rigoni
RIVISTA BANCARIA. MINERVA BANCARIA 2, 51-67, 2011
52011
Financial analysts’ forecast accuracy: do valuation methods matter?
E Cavezzali, U Rigoni
Department of Management, Università Ca'Foscari Venezia Working Paper, 2013
42013
Investor profile and asset allocation advice
E Cavezzali, U Rigoni
42007
Basel liquidity regulation and credit risk market perception: evidence from large European banks
G Simion, U Rigoni, E Cavezzali, A Veller
Research in International Business and Finance, 102228, 2024
32024
Proximity to hubs of expertise and financial analyst forecast accuracy
E Cavezzali, J Crepaldi, U Rigoni
Eurasian Business Review 4, 157-179, 2014
32014
Alfabetizzazione finanziaria e «asset allocation» dei non esperti: uno studio sperimentale
E Cavezzali, G Gardenal, U Rigoni
Analisi Giuridica dell'Economia 11 (1), 107-134, 2012
32012
I report degli analisti finanziari: metodi di valutazione e raccomandazioni d'investimento
GS Bertinetti, U Rigoni, E Cavezzali
Banca, Sistemi e Modelli. Saggi in onore di Tancredi Bianchi-Volume 3 3, 87-112, 2009
32009
Market discipline on bank bond issues through the lens of a new forward‐looking measure of loan quality
G Simion, E Cavezzali, S Nathan, U Rigoni
European Financial Management 26 (5), 1350-1384, 2020
22020
The information content of financial analysts’ reports
E Cavezzali
22007
Gli Studi Prodotti dagli Analisti Finanziari sulle Società Quotate sul Mercato Italiano. Un'analisi empirica del contenuto.
E Cavezzali
22007
Risk Governance E Performance Delle Banche Italiane: Un’Analisi Empirica (Risk Governance and Performance of the Italian Banks: An Empirical Analysis)
E Cavezzali, G Gardenal
Bancaria, 2016
12016
The impact of liquidity regulation announcements on the CDS market of large European banks
G Simion, U Rigoni, E Cavezzali, A Veller
We are proud to present the Book of Abstracts of the contributions accepted …, 2016
12016
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