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Mostrati risultati da 10.061 a 10.080 di 11.226
Data di pubblicazione Titolo Autore(i) File
1-gen-1999 Swap: considerazioni sullo stato dell'arte Rigamonti, Silvia
1-gen-2016 Switch-out and switch-in: what motivates the decision makers in Italian occupational pension funds? Lippi, Andrea
1-gen-1969 "Switches of Techniques and the “Rate of Return” in Capital Theory " Pasinetti, Luigi Lodovico
1-gen-2018 Switzerland and the world: a success story. Review of Sergio Rossi ed., L’economia elvetica nella globalizzazione Esposito, Lorenzo; Mastromatteo, Giuseppe
1-gen-2015 Symmetry breaking in a bull and bear financial market model Sushko, Iryna; Tramontana, Fabio; Westerhoff, F; Avrutin, V.
1-gen-2017 Symposium on Arrigo Opocher and Ian Steedman (2015), Full Industry Equilibrium. A Theory of the Industrial Long Run, Cambridge: Cambridge University Press. Bellino, Enrico; Christian, Bidard; Fratini, Saverio Maria; Harcourt, G. C.; Arrigo, Opocher; Ian, Steedman; Naoki, Yohihara; Kurz, Heinz D.
1-gen-2010 Synchronization and On-Off Intermittency Phenomena in a Market Model with Complementary Goods and Adaptive Expectations Bignami, Fernando; Agliari, Anna
1-gen-2017 Synchronization of reinforced stochastic processes with a network-based interaction Aletti, Giacomo; Crimaldi, Irene; Ghiglietti, Andrea
1-gen-2018 “System-wide lean implementation in health care: A multiple case study” Centauri, Federica; Mazzocato, P.; Villa, Stefano; Marsilio, M.
1-gen-2009 Systematic equity-based credit risk: A CEV model with jump to default Campi, L; Polbennikov, S; Sbuelz, Alessandro
1-gen-2023 A Systematic Review of Performance Measurement Systems and Their Relevance to Social Enterprises Cosa, Marcello; Urban, Boris
1-gen-2020 Systemic risk assessment through high order clustering coefficient Cerqueti, Roy; Clemente, Gian Paolo; Grassi, Rosanna
1-gen-2018 "Systemic Risk determinants in the European Banking Industry during Financial Crises, 2006 - 2012" Bellavite Pellegrini, Carlo; Meoli, M.; Pellegrini, Laura; Urga, G.
1-gen-2014 Systemic Risk of European Banks over the period 2006-2012 Urga, Giovanni; Meoli, Michele; Pellegrini, Laura; Bellavite Pellegrini, Carlo
1-gen-2016 Systemic Risk, Regulation and Supervision. Reading Recent History: U.S. and European Approaches Beretta, Simona
1-gen-2006 T.Ch. Koopmans Parisi, Daniela
1-gen-2009 Il Tableau Économique e le economie moderne Pasinetti, Luigi Lodovico
1-gen-2022 Tackling Gender Bias in Equity Crowdfunding: An Exploratory Study of Investment Behaviour of Latin American Investors Cicchiello, Antonella Francesca; Kazemikhasragh, Amirreza.
1-gen-2010 Tailoring the Gaussian law for excess kurtosis and skewness by Hermite polynomials Zoia, Maria
1-gen-2013 Tailoring the logistic distribution to fit the empirical distribution of financial asset returns Zoia, Maria; Potì, Valerio
Mostrati risultati da 10.061 a 10.080 di 11.226
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