Details about Oliviero Roggi
Access statistics for papers by Oliviero Roggi.
Last updated 2019-01-28. Update your information in the RePEc Author Service.
Short-id: pro1142
Jump to Journal Articles Books Edited books Chapters
Journal Articles
2018
- Financial Companies’ Failures: Early Warning Information from Systematic and Systemic Risk Measures
Quarterly Journal of Finance (QJF), 2018, 08, (04), 1-20 View citations (1)
2017
- Editors' Note
Journal of Financial Management, Markets and Institutions, 2017, (2), 143-146
- Valuing emerging markets companies: New approaches to determine the effective exposure to country risk
Research in International Business and Finance, 2017, 39, (PA), 553-567 View citations (3)
2015
- Fair value disclosure, liquidity risk and stock returns
Journal of Banking & Finance, 2015, 58, (C), 327-342 View citations (3)
2013
- Building Sme rating: is it necessary for lenders to monitor financial statements of the borrowers?
BANCARIA, 2013, 10, 54-71 View citations (2)
Books
2015
- Risk, Value and Default
World Scientific Books, World Scientific Publishing Co. Pte. Ltd. View citations (1)
2014
- Managing Risk and Opportunity: The Governance of Strategic Risk-Taking
OUP Catalogue, Oxford University Press View citations (5)
Edited books
2013
- Managing and Measuring Risk:Emerging Global Standards and Regulations After the Financial Crisis
World Scientific Books, World Scientific Publishing Co. Pte. Ltd.
Chapters
2015
- Company Default and Discriminant Variables for SME
Chapter 4 in Risk, Value and Default, 2015, pp 103-120
- Credit Risk, Default, and Borrowing Costs
Chapter 3 in Risk, Value and Default, 2015, pp 75-101
- Default Risk and Discriminant Methodologies for SME
Chapter 5 in Risk, Value and Default, 2015, pp 121-133
2013
- AN EVOLUTIONARY PERSPECTIVE ON THE CONCEPT OF RISK, UNCERTAINTY AND RISK MANAGEMENT
Chapter 1 in Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis, 2013, pp 3-37
- SME RATING: RISK GLOBALLY, MEASURE LOCALLY
Chapter 10 in Managing and Measuring Risk Emerging Global Standards and Regulations After the Financial Crisis, 2013, pp 281-305
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