BANCARIA
2009 - 2020
Current editor(s): Bancaria Editrice - the publisher of the Italian Banking Association
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Volume 7, month July, 2009
- Italian banks and the role of technology, ethics and responsibility pp. 2-8

- Antonio Patuelli
- Address by the President of the Italian Banking Association at the Annual Meeting pp. 2-11

- Antonio Patuelli
- Banks, firms and the road for recovery pp. 2-11

- Corrado Faissola
- The new page of Italian banking industry pp. 10-18

- Ignazio Visco
- Towards a favourable business environment pp. 12-20

- Ignazio Visco
- A common responsibility respect to Italy pp. 12-15

- Giulio Tremonti
- Credit, banks and the role of supervision pp. 16-23

- Mario Draghi
- The turning point of Italian banks and the next European scenario pp. 19-22

- Pier Carlo Padoan
- Growth, the priority for Europe and Italy pp. 21-26

- Pier Carlo Padoan
- Name concentration risk and credit to Smes: the case for reducing customers and raise quality pp. 24-36

- Giacomo De Laurentis, Diego Quatraro and Luca Santambrogio
- Financial crisis and new dimensions of liquidity risk: rethinking prudential regulation and supervision pp. 24-42

- Elisabetta Gualandri, Andrea Landi and Valeria Venturelli
- The determinants of Mergers and Acquisitions in Italian banks pp. 27-51

- Elena Beccalli and Francesca Lenoci
- Ecb policies and 10 years of liquidity management: the road to Qe exit pp. 37-46

- Alberto Banfi and Fiorenzo Di Pasquali
- Capital adequacy and capital regulation of Us credit unions pp. 43-55

- John Goddard, Donald McKillop and John Wilson
- Portfolio Risk reduction strategies for different investors pp. 47-55

- Maria Debora Braga
- Bank ratings and business models: the lessons from the crisis pp. 52-55

- Vincenzo D'Apice, Giovanni Ferri and Punziana Lacitignola
- The new fiscal measures on financial leasing pp. 56-63

- Enzo Mignarri
- Investment and investment finance in Italy through the prism of the Bei Investment survey pp. 56-67

- Luca Gattini and Debora Revoltella
- About the subprime crisis pp. 56-68

- Giorgio Szego
- Liquidity Transfer Pricing and Liquidity Risk: possible solutions pp. 64-82

- Marco Di Antonio and Danilo Drago
- Financial advisors, the new keys: flexibility, technology, learning pp. 68-76

- Fabrizio Fornezza
- Financial innovation, opportunities and critical aspects pp. 69-72

- Mario Sarcinelli
- New rules for a global financial system pp. 73-80

- Michele Bagella and Paolo Paesani
- Working sustainability in banks: a new contractual type pp. 77-80

- Eliano Omar Lodesani
- The «hybrid contract»: an experiment for Italian banks pp. 81-88

- Marco Marazza
- The european proposal to amend Vat treatment on financial services pp. 81-100

- Salvatore Chiri, Fabrizio Borselli and Claudia Barsotti
- Bond issuing and Smes: the new Italian experience pp. 83-97

- Eleonora Broccardo, Luca Erzegovesi and Maria Mazzuca
- The creation of the world’s biggest asset manager pp. 101-105

- Gino Gandolfi and Maria Cristina Arcuri
- Human resources and internationalization of Italian banking groups pp. 106-111

- Fausto Orlando and Cristiana Minguzzi
- Giorgio Ambrosoli, here and now pp. 112-114

- Andrea Resti
Volume 6, month June, 2014
- The Constitutional guarantees on Savings pp. 2-3

- Antonio Patuelli
- Loan securitization and mini-bonds, new channels for Smes financing pp. 3-15

- Giancarlo Forestieri
- Savings protection in Italy, a Constitutional safeguard pp. 4-11

- Paolo Grossi
- The evolution of Italian Firms: from the “Cina in Europe” to the new developing solutions pp. 8-14

- Matteo Colaninno
- Sustainable finance and economic growth: new trends and strategies pp. 12-19

- Ignazio Basile
- Profitability and leverage: the positioning of Italian firms in the European arena pp. 16-27

- Lorenzo Caprio and Silvia Rigamonti
- Multiple directorships in the Board of Directors: an investors’ perspective pp. 20-38

- Marco Caiffa, Vincenzo Farina and Lucrezia Fattobene
- An analysis on the difference between bank index-linked bonds’ prices and their fair-value pp. 28-48

- Michele Leonardo Bianchi
- Digital economy and fiscal competition: the role of Italian banks pp. 39-43

- Giovanni Sabatini
- Italian households and mortgages affordability index pp. 49-64

- Vincenzo Chiorazzo and Pierluigi Morelli
- Regulatory harmonisation and cooperation to overcome the crisis in Europe pp. 53-56

- Lamberto Cardia
- Consumer over-indebtness, new procedures in Italian regulation pp. 65-73

- Alfonso Castiello d`Antonio
- Higher fiscal rates on financial revenues in Italy pp. 74-80

- Enzo Mignarri
- Interconnectedness and systemic risk: hedge funds, banks, insurance companies pp. 81-91

- Monica Billio and Loriana Pelizzon
- The Active Integrated Regulatory Management model, a new tool for business risk efficiency pp. 92-98

- Pasquale Nicastro
Volume 06, month June, 2012
- Recent profitability trends of Italian banks pp. 2-13

- Direzione Strategie e Mercati Finanziari
- Infrastructure financing in Europe and the Fiscal Compact approach pp. 2-21

- Rainer Masera
- Structural bank regulation initiatives: approaches and implications pp. 14-27

- Leonardo Gambacorta and Adrian Rixtel
- Wealth management industry in search of new demand-driven models pp. 22-33

- Caterina Lucarelli and Simona Maggi
- Governance, performance and credit quality: the case of Italian cooperative banks pp. 28-41

- Candida Bussoli
- The key role of personal experience in Financial Education pp. 34-57

- Massimo Caratelli, Alessia Naccarato and Ornella Ricci
- The effect of macroeconomic shocks on Italian banks pp. 42-46

- Vincenzo D'Apice and Pierluigi Morelli
- The Eurosystem’s monetary, banking and financial statistics: future steps pp. 47-58

- Riccardo De Bonis
- Real estate investment funds’ taxation in Italy pp. 58-66

- Enzo Mignarri
- The new IASB model on the measurement of credit exposures: a missed opportunity pp. 60-72

- Carlo Calandrini
- The key role of the President and the Secretary of Corporate bodies in the financial sector pp. 67-73

- Massimo Paolo Gentili and Orietta Nava
- Internal controls system in small banks pp. 74-78

- Sabrina Galmarini, Paolo Pogliaghi and Walter Vandali
- Italian financial advisory firms profitability and trends pp. 74-93

- Patrizia Pia
- A survey on the Compliance Function in Italian banks pp. 79-83

- Sabrina Galmarini
- Leveraging on cost management to recover from economic downturn: a new structural approach to the topic pp. 84-89

- Domenico Lofano, Cristian Reginato and Fabrizio Sarrocco
- The difficult equilibrium of the Labour reform pp. 90-93

- Marco Marazza
- Stock Exchanges mergers: the case for the United Arab Emirates pp. 94-102

- Andrea Paltrinieri