Keywords: Italian banks
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Journal Articles
Journal of Risk Finance (2021) 22 (3-4): 209–239.
Published: 23 July 2021
...Peter Cincinelli; Domenico Piatti Purpose The paper aims to disentangle the physiological credit risk from the credit risk coming from the inefficient screening and monitoring management process. The analysis is conducted on a sample of 338 Italian banks–56 joint-stock banks (SpA), 23 cooperative...
Journal Articles
Journal of Risk Finance (2014) 15 (4): 458–478.
Published: 18 August 2014
...Moorad Choudry; Francesca Battaglia; Maria Mazzuca Purpose – The purpose of this study was to examine the 2007-2009 financial crisis to analyze how securitization relates to the Italian bank risk profile, both in terms of credit and liquidity risks. Design/methodology/approach – To test our...
Journal Articles
Journal of Risk Finance (2014) 15 (4): 417–436.
Published: 18 August 2014
.../methodology/approach – The annual reports of 112 Italian banks are analysed during the 2005-2011 period. By estimating a probit regression model, two incentives for using CD are tested: managing credit risk, and increasing a bank’s income composition/diversification. Different sub-samples are considered...

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