Dissertation topics suggested by the teacher.
- Policy evaluation in banking
- Corporate governance and political connections in banking
- IRB models, regulatory requirements, and credit risk
Recent dissertations supervised by the teacher.
First cycle degree programmes dissertations
- An empirical evidence of ESG investing during the COVID-19 outbreak
- Corporate Governance: old and new issues from an international perspective
- Determinants, Implications, and Real Effects of Bank Default: the Case of Silicon Valley Bank
- Historical development of portfolio theory
- Impact of Covid-19 on the Bitcoin’s returns
- Market evaluation of the italian cross-border mergers and acquisitions
- Systemic risk, economic crises, and government policies
- The Effectiveness of the European Banking Authority (EBA) Stress Test in Managing Banks’ Resilience to Prevent Financial Systemic Risk Crises
- The flight to safety phenomenon and commodity prices during the Russia-Ukraine war
Second cycle degree programmes dissertations
- Analisi sistematica della sostenibilità e le relative implicazioni per i mercati finanziari
- Annunci dei regolatori su metriche di sostenibilità e reazione di mercato delle banche europee
- Assessing the Impact of Climate Risks on Italian Digital
Payment Systems Payees: A Study of Physical and
Transition Risks
- Dallo IAS39 all'IFRS9: il rapporto tra abnormal lending e rischio nelle banche dell'Europa Occidentale
- Firm Productivity and Private Equity: Evidence from Europe
- Geopolitical risk effects in commodity prices: the Ukrainian war case
- Geopolitical risk effects in the EU-27 stock market: the Ukrainian war case
- Revisiting the Black and Litterman model through the inclusion of the investor attention: evidence from the SFDR
- Sovereign CDS spreads and Transition Risk: Evidence from the European Green Deal