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Daltung, Sonja Ivaldi, Marc Chizzolini, Barbara Oliviero, Tommaso Battaggion, Maria Rosa Gambacorta, Leonardo Carletti, Elena Fedele, Alessandro Dalla Pellegrina, Lucia Paola, Galfrascoli Bonacorsi, Laura Galfrascoli, Paola Deininger, Sebastian Manera, Matteo Deininger, Sebastian M. Montoli, Stefano Karakoç, Gülen Miniaci, Raffaele Boccaletti, Simone Rochet, Jean-Charles Karakoc, Gulen Crosato, Lisa Cerasi, Vittorio All co-authors costs compensation risk bank lending firms factors productive paper kreditgeschäft market managerial impact companies model esg multiple value structure bankenregulierung product financial banking optimal default different greater moral hazard interlocking affected diversification industry empirical study cost hand kreditrisiko bail equity assets crisis
Composed terms corporate governance bank lending multiple bank bank regulation moral hazard credit risk free riding post crisis banking industry overload costs executive compensation ceo compensation lending diversification diversification free riding monitoring product market risk default environmental social monopolistic competition corporate social responsibility monopolistischer wettbewerb crisis regulation regulation affected affected bank bank ceo diversification delegation prinzipal agent theorie agency theory market concentration impact assessment bank managers portfolio management portfolio selection free rider problem firm size firms credit funding costs partial equity equity ownership productive assets credit availability impact mergers optimal size size bank bank costs costs benefits benefits diversification banks firms study relationship individual companies private information asymmetric information sound compensation peer solidarity effort productive model shows productive investment hand solidarity monitoring shareholders managerial bonuses hazard problem factors firms bail bank bank funding interlocking directorates liquidation value market competition compensation monitoring mergers degree close relationships firms good good bad relationship risk social governance factors using european listed listed companies companies proxy proxy credit risk score score originally esg raw raw factors stage using
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The information on the author is retrieved from: Entity Facts (by DNB = German National Library data service), DBPedia and Wikidata
Vittoria Cerasi Alternative spellings: V. Cerasi Biblio: Tätig an der Bicocca Univ.; Tätig an der London School of Economics, UK und IGIER, Milano, IT; Tätig an der Univ. degli Studi (Statale), Milano, Italien
Q133017897
Publishing years Series CefES paper series (5) University of Milan Bicocca Department of Economics, Management and Statistics Working Paper (5) Working paper series / Dipartimento di Economia Politica e Aziendale, Università degli Studi di Milano (5) Discussion paper series / LSE Financial Markets Group (4) Sveriges Riksbank working paper series (3) Discussion paper / Centre for Economic Policy Research (2) Riksbank Research Paper Series (2) Working paper (2) Discussion paper / LSE Financial Markets Group (2) Sonderforschungsbereich 504, Rationalitätskonzepte, Entscheidungsverhalten und Ökonomische Modellierung (1) FEEM Working Paper (1) CFS working paper series (1) IDEI working papers (1) Paolo Baffi Centre Research Paper (1) BIS Working Paper (1) Working papers / Bank for International Settlements (1) Working paper series / Innocenzo Gasparini Institute for Economic Research (1)