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Details about Giampaolo Gabbi

Homepage:http://digilander.iol.it/ggabbi
Workplace:Dipartimento di Finanza (Department of Finance), Università Commerciale Luigi Bocconi (Bocconi University), (more information at EDIRC)

Access statistics for papers by Giampaolo Gabbi.

Last updated 2023-03-16. Update your information in the RePEc Author Service.

Short-id: pga343


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Working Papers

2016

  1. Rating Trajectories and Credit Risk Migration: Evidence for SMEs
    DISCE - Quaderni del Dipartimento di Scienze Economiche e Sociali, Università Cattolica del Sacro Cuore, Dipartimenti e Istituti di Scienze Economiche (DISCE) Downloads

2015

  1. Banks' strategies and cost of money: effects of the financial crisis on the European electronic overnight interbank market
    LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library Downloads View citations (1)
    See also Journal Article Banks' Strategies and Cost of Money: Effects of the Financial Crisis on the European Electronic Overnight Interbank Market, Journal of Financial Management, Markets and Institutions, Società editrice il Mulino (2015) Downloads View citations (2) (2015)
  2. Interactions between financial and environmental networks in OECD countries
    Papers, arXiv.org Downloads View citations (3)
    See also Journal Article Interactions between Financial and Environmental Networks in OECD Countries, PLOS ONE, Public Library of Science (2015) Downloads View citations (2) (2015)

2014

  1. Factors generating and transmitting the financial crisis: The role of incentives: securitization and contagion
    Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project Downloads View citations (3)
  2. Financial Regulation in Italy
    Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project Downloads
  3. Financialisation and Economic and Financial Crises: The Case of Italy
    FESSUD studies, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project Downloads View citations (3)
  4. Implications of financialisation for sustainability
    Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project Downloads View citations (3)
  5. Reduction of systemic risk by means of Pigouvian taxation
    Papers, arXiv.org Downloads View citations (1)
    See also Journal Article Reduction of Systemic Risk by Means of Pigouvian Taxation, PLOS ONE, Public Library of Science (2015) Downloads View citations (6) (2015)

2013

  1. The Italian Financial System
    FESSUD studies, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project Downloads View citations (1)

2006

  1. CART analysis of qualitative variables to improve credit rating processes
    Computing in Economics and Finance 2006, Society for Computational Economics View citations (4)

Journal Articles

2020

  1. Market microstructure, banks’ behaviour and interbank spreads: evidence after the crisis
    Journal of Economic Interaction and Coordination, 2020, 15, (1), 283-331 Downloads

2019

  1. Credit Risk Migration and Economic Cycles
    Risks, 2019, 7, (4), 1-18 Downloads View citations (3)
  2. Energy and Environmental Flows: Do Most Financialised Countries within the Mediterranean Area Export Unsustainability?
    Sustainability, 2019, 11, (13), 1-15 Downloads
  3. Modelling credit risk with soft facts for micro firms and Smes
    BANCARIA, 2019, 1, 32-47 Downloads

2017

  1. Editors' Note
    Journal of Financial Management, Markets and Institutions, 2017, (2), 143-146 Downloads

2015

  1. Banks' Strategies and Cost of Money: Effects of the Financial Crisis on the European Electronic Overnight Interbank Market
    Journal of Financial Management, Markets and Institutions, 2015, (2), 179-202 Downloads View citations (2)
    See also Working Paper Banks' strategies and cost of money: effects of the financial crisis on the European electronic overnight interbank market, LSE Research Online Documents on Economics (2015) Downloads View citations (1) (2015)
  2. Financial regulations and bank credit to the real economy
    Journal of Economic Dynamics and Control, 2015, 50, (C), 117-143 Downloads View citations (29)
  3. Interactions between Financial and Environmental Networks in OECD Countries
    PLOS ONE, 2015, 10, (9), 1-12 Downloads View citations (2)
    See also Working Paper Interactions between financial and environmental networks in OECD countries, Papers (2015) Downloads View citations (3) (2015)
  4. Reduction of Systemic Risk by Means of Pigouvian Taxation
    PLOS ONE, 2015, 10, (7), 1-18 Downloads View citations (6)
    See also Working Paper Reduction of systemic risk by means of Pigouvian taxation, Papers (2014) Downloads View citations (1) (2014)

2014

  1. Breaking up the Bank: Alternative Proposals to Separate Banking Activities. A Critical Analysis
    Rivista di Politica Economica, 2014, (2), 17-37
  2. Financial systems in financial crisis — An analysis of banking systems in the EU
    Intereconomics: Review of European Economic Policy, 2014, 49, (2), 56-87 Downloads View citations (2)
  3. Good news, bad news: a proposal to measure banks’ reputation using Twitter
    BANCARIA, 2014, 9, 44-51 Downloads
  4. The impact of Solvency 2 on Insurance business: evolution or revolution?
    BANCARIA, 2014, 2, 61-73 Downloads
  5. The impact of Solvency 2 on organization and It in the insurance industry
    BANCARIA, 2014, 5, 50-59 Downloads

2013

  1. Asset correlations and bank capital adequacy
    The European Journal of Finance, 2013, 19, (1), 55-74 Downloads View citations (7)
  2. Managing compliance risk after MiFID
    Journal of Financial Regulation and Compliance, 2013, 21, (1), 51-68 Downloads
  3. Risk Management for Italian Non†Financial Firms: Currency and Interest Rate Exposure
    European Financial Management, 2013, 19, (5), 887-910 Downloads View citations (10)

2012

  1. Risk management and its stakeholders
    BANCARIA, 2012, 03, 16-23 Downloads

2011

  1. Firm size and compliance costs asymmetries in the investment services
    Journal of Financial Regulation and Compliance, 2011, 19, (1), 58-74 Downloads View citations (2)

2010

  1. Banking reputation bridging risk management and strategic decisions
    Banca Impresa Società, 2010, (2), 335-358 Downloads View citations (1)
  2. Compliance Function in Banks, Investment and Insurance Companies after MiFID
    Journal of Financial Transformation, 2010, 30, 49-56 Downloads
  3. Hedging with futures: Efficacy of GARCH correlation models to European electricity markets
    Journal of International Financial Markets, Institutions and Money, 2010, 20, (2), 135-148 Downloads View citations (20)

2008

  1. A network analysis of the Italian overnight money market
    Journal of Economic Dynamics and Control, 2008, 32, (1), 259-278 Downloads View citations (307)

2005

  1. Semi-correlations as a tool for geographical and sector asset allocation
    The European Journal of Finance, 2005, 11, (3), 271-281 Downloads View citations (8)
  2. Which factors affect corporate bonds pricing? Empirical evidence from eurobonds primary market spreads
    The European Journal of Finance, 2005, 11, (1), 59-74 Downloads View citations (38)

2004

  1. Definizione, misurazione e gestione del rischio reputazionale degli intermediari bancari
    Banca Impresa Società, 2004, (1), 51-80 Downloads View citations (4)

Chapters

2016

  1. The transmission channels between the financial and the real sectors in Italy and the crisis
    Chapter 10 in Financialisation and the Financial and Economic Crises, 2016, pp 234-254 Downloads View citations (3)
 
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