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Emanuele Bajo

Professore ordinario

Dipartimento di Scienze Economiche

Settore scientifico disciplinare: SECS-P/09 FINANZA AZIENDALE


Bajo E.; Bigelli M.; Raimondo C., Ownership ties, conflict of interest, and the tone of news, «EUROPEAN FINANCIAL MANAGEMENT», in corso di stampa, N/A, pp. N/A - N/A [articolo]

Bajo, E., Barbi, M., Hillier, D., Where should I publish to get promoted? A finance journal ranking based on business school promotions, «JOURNAL OF BANKING & FINANCE», in corso di stampa, 9999, pp. 1 - 30 [articolo]

Cecchini, Marco; Bajo, Emanuele; Russo, Paolo Maria; Sobrero, Maurizio, Individual Differences in the Disposition Effect, «JOURNAL OF BEHAVIORAL FINANCE», 2019, 20, pp. 107 - 126 [articolo]

Emanuele Bajo; Massimiliano Barbi, Financial Illiteracy and Mortgage Refinancing Decisions, «JOURNAL OF BANKING & FINANCE», 2018, 94, pp. 279 - 296 [articolo]

Bajo, Emanuele; Barbi, Massimiliano; Petrella, Giovanni, Do firms get what they pay for? A second thought on over-allotment option in IPOs, «THE QUARTERLY REVIEW OF ECONOMICS AND FINANCE: JOURNAL OF THE MIDWEST ECONOMICS ASSOCIATION», 2017, 63, pp. 219 - 232 [articolo]

Bajo, Emanuele; Raimondo, Carlo, Media sentiment and IPO underpricing, «JOURNAL OF CORPORATE FINANCE», 2017, 46, pp. 139 - 153 [articolo]

Bajo, Emanuele; Thomas, J. Chemmanur; Karen, Simonyan; Hassan, Tehranian, Underwriter Networks, Investor Attention, and Initial Public Offerings, «JOURNAL OF FINANCIAL ECONOMICS», 2016, 122, pp. 376 - 408 [articolo]

Bajo E.; Barbi M.; Romagnoli S., A generalized approach to optimal hedging with option contracts, «EUROPEAN JOURNAL OF FINANCE», 2015, 21, pp. 714 - 733 [articolo]

Bajo, Emanuele; Barbi, Massimiliano; Sandri, Sandro, Financial Literacy, Households' Investment Behavior, and Risk Propensity, «JOURNAL OF FINANCIAL MANAGEMENT, MARKETS AND INSTITUTIONS», 2015, 1/2015, pp. 157 - 174 [articolo]

Paolo Olgiati;Emanuele Bajo;Alessandro Serretti, Benefit of slow titration of paroxetine to treat depression in the elderly, «HUMAN PSYCHOPHARMACOLOGY», 2014, 29, pp. 544 - 551 [articolo]

M. Barbi; E. Bajo; S. Romagnoli, Optimal Corporate Hedging Using Options with Basis and Production Risk, «THE NORTH AMERICAN JOURNAL OF ECONOMICS AND FINANCE», 2014, 30, pp. 56 - 71 [articolo]

Paolo Olgiati;Emanuele Bajo;Marco Bigelli;Stuart Montgomery;Alessandro Serretti, Challenging sequential approach to treatment resistant depression: Cost-utility analysis based on the Sequenced Treatment Alternatives to Relieve Depression (STAR⁎D) trial, «EUROPEAN NEUROPSYCHOPHARMACOLOGY», 2013, 23, pp. 1739 - 1746 [articolo]

E. Bajo; M.Barbi; D.Hillier, Interest rate risk estimation: a new duration-based approach, «APPLIED ECONOMICS», 2013, 45, pp. 2697 - 2704 [articolo]

Bajo E; Bigelli M; Barbi M; Hillier D, The Role of Institutional Investors in Public-to-Private Transactions, «JOURNAL OF BANKING & FINANCE», 2013, 37, pp. 4327 - 4336 [articolo]

E. Bajo, Rischi finanziari delle imprese. Politiche di copertura, modelli ed evidenze empiriche, MILANO, Franco Angeli, 2012, pp. 284 . [libro]

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