Browsing by Author "Donadelli, Michael"

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Browsing by Author "Donadelli, Michael"

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  • Trani, Vittorio <1989> (Università Ca' Foscari Venezia, 2019-03-13)
    la presente tesi intende analizzare i metodi emergenti, grazie al credit crunch bancario, per il finanziamento del capitale di debito.
  • Ahmed, Sk Ashif <1991> (Università Ca' Foscari Venezia, 2019-10-22)
    This thesis, in the first part, examines the stock markets relationship between U.S. and seven Asian countries (China, India, Indonesia, Malaysia, Pakistan, Philippines, Thailand) using dynamic rolling window estimation ...
  • Boscolo Bariga, Luigi <1989> (Università Ca' Foscari Venezia, 2018-03-19)
    La crisi del 2008 e l’avvento del digital hanno stravolto il mondo delle finanza. I colossi bancari tuttavia, a causa delle loro grandi dimensioni e della scarsa flessibilità, faticano a rispondere ai trend e alle rapide ...
  • Colle, Umberto <1991> (Università Ca' Foscari Venezia, 2016-02-23)
    La mia tesi ha come scopo individuare in che modo il mercato risponde ad una notizia di frode contabile e le successive strategie a livello di governance adottate dalle aziende colpevoli per ripristinare la fiducia degli ...
  • Iachelini, Alessandro <1993> (Università Ca' Foscari Venezia, 2018-03-19)
    Behavioural Sciences proved both in empirical and theoretical methods that we often take decisions associated with un-known risk, i.e. characterized by a probability distribution of the outcomes that is undetectable. In ...
  • Rizzolo, Carlo <1992> (Università Ca' Foscari Venezia, 2017-03-21)
    This thesis wants to concentrate on behavioral finance and in particular on the method used by investors to face the problem of risk and return in the capital market. The structure of the composition provides for the ...
  • Lucchetta, Alberto <1995> (Università Ca' Foscari Venezia, 2019-10-22)
    The aim of the analysis is to investigate if bond risk is priced. The idea to examine this topic rises by the interest to analyze in depth the movements of the bond financial market. The general framework reveals an ...
  • Melani, Federica <1995> (Università Ca' Foscari Venezia, 2019-10-22)
    In the last years, part of the economic literature focused on the role of uncertainty in the real economy, using both measures of risk aversion and ambiguity aversion in structural models. Following the decoupling between ...
  • Zago, Valentina <1996> (Università Ca' Foscari Venezia, 2020-07-27)
    In the general opinion, taxation is currently regarded as a barrier to growth and is a very much exploited theme in political debate. Countries have dramatically increased the level of taxation as well as have changed the ...
  • Sanguin, Leonardo <1991> (Università Ca' Foscari Venezia, 2017-10-31)
    Over the last decades, the Fund industry has increased its volume and business interested considerably and the sector has seen many countries grow and expand by offering to the investor a multiplicity of services related ...
  • Gufler, Ivan <1994> (Università Ca' Foscari Venezia, 2020-07-27)
    In this paper I review the main theoretical and empirical results on the relationship between financial integration and macroeconomic stability, namely the volatility of consumption growth. I construct two robust price-based ...