Foto del docente

Andi Duqi

Ricercatore a tempo determinato tipo b) (senior)

Dipartimento di Scienze Aziendali

Settore scientifico disciplinare: SECS-P/11 ECONOMIA DEGLI INTERMEDIARI FINANZIARI


Duqi A.; Jaafar A.; Warsame M.H., Payout policy and ownership structure: The case of Islamic and conventional banks, «THE BRITISH ACCOUNTING REVIEW», 2020, 52, pp. 1 - 17 [articolo]

Duqi A.; Al-Tamimi H., Factors affecting investors’ decision regarding investment in Islamic Sukuk, «QUALITATIVE RESEARCH IN FINANCIAL MARKETS», 2019, 11, pp. 60 - 72 [articolo]

Andi Duqi; Angelo Tomaselli; Giuseppe Torluccio, Is relationship lending still a mixed blessing? A review of advantages and disadvantages for lenders and borrowers, «JOURNAL OF ECONOMIC SURVEYS», 2018, 32, pp. 1446 - 1482 [articolo]

Duqi, Andi*; Al-Tamimi, Hussein, The Impact of Owner’s Identity on Banks’ Capital Adequacy and Liquidity Risk, «EMERGING MARKETS FINANCE & TRADE», 2018, 54, pp. 468 - 488 [articolo]

Al-Tamimi, Hussein A. Hassan*; Warsame, Mohammed Hersi; Duqi, Andi, Readiness of the UAE banks for the implementation of Basel III, «INTERNATIONAL JOURNAL OF ECONOMICS AND BUSINESS RESEARCH», 2016, 11, pp. 303 - 316 [articolo]

Andi Duqi; Aziz Jaafar;Giuseppe Torluccio, Mispricing and risk of R&D investment in European firms, «EUROPEAN JOURNAL OF FINANCE», 2015, 21, pp. 444 - 465 [articolo]

Andi Duqi;Leonardo Franci;Giuseppe Torluccio, The Black–Litterman model: the definition of views based on volatility forecasts, «APPLIED FINANCIAL ECONOMICS», 2014, 24, pp. 1285 - 1296 [articolo]

A. Duqi; G. Torluccio, The impact of R&D on the value of European firms, «INTERNATIONAL JOURNAL OF ACCOUNTING, AUDITING AND PERFORMANCE EVALUATION», 2013, 9, pp. 1 - 26 [articolo]

Franci L.; Duqi A; Torluccio G., Forecasting the dynamics of financial markets. Empirical evidence in the long term., «INVESTMENT MANAGEMENT & FINANCIAL INNOVATIONS», 2012, 9, pp. 93 - 103 [articolo]

Duqi A.; Torluccio G., Can R&D expenditures affect firm market value? An empirical analysis of a panel of European listed firms., in: Bank performance, risk and firm financing, LONDON, Palgrave Macmillan, 2011, pp. 215 - 241 [capitolo di libro]