Cite: G. Birindelli, A. Miazza, V. Paimanova, V. Palea (2023), Just “blah blah blah”? Stock market expectations and reactions to COP26, International Review of Financial Analysis,102699, ISSN 1057-5219, https://doi.org/10.1016/j.irfa.2023.102699
Women in Financial Services. Exploring Progress towards Gender Equality
Maria Fedele2023-01-31T15:21:17+01:00Cite: G. Birindelli, A. P. Iannuzzi (2022), Women in Financial Services. Exploring Progress towards Gender Equality, Palgrave Macmillan, Studies in Banking and Financial Institutions, Series Editor: Philip Molyneux, London, ISBN 978-3-030-93470-5, ISBN 978-3-030-93471-2 (eBook). https://link.springer.com/book/9783030934705
To green or not to green? How CSR mechanisms at the governance level affect the likelihood of banks pursuing green product strategies
Maria Fedele2023-01-31T15:20:53+01:00Cite: G. Birindelli, V. Palea (2022), To green or not to green? How CSR mechanisms at the governance level affect the likelihood of banks pursuing green product strategies, Corporate Governance, ISSN 1472-0701, https://doi.org/10.1108/CG-09-2021-0349
Climate change commitment, credit risk and the country’s environmental performance. Empirical evidence from a sample of international banks
Maria Fedele2023-01-31T15:20:33+01:00Cite: G. Birindelli, G. Bonanno, S. Dell’Atti, A. P. Iannuzzi (2022), Climate change commitment, credit risk and the country’s environmental performance. Empirical evidence from a sample of international banks, Business Strategy and the Environment, Volume 31, Issue 4, May, Pages 1641-1655, https://doi.org/10.1002/bse.2974
Regulatory Reform and Banking Diversity: Reassessing Basel 3
Maria Fedele2023-01-31T15:20:12+01:00Cite: G. Birindelli, P. Ferretti, G. Ferri, M. Savioli (2022), Regulatory Reform and Banking Diversity: Reassessing Basel 3, Annals of Finance, pages 1-28, https://doi.org/10.1007/s10436-021-00406-3
Clean energy indices and brown assets: an analysis of tail risk spillovers through the VAR for VaR model
Maria Fedele2023-01-31T15:19:51+01:00Cite: E. Angelini, G. Birindelli, H. Chiappini, M. Foglia (2022), Clean energy indices and brown assets: an analysis of tail risk spillovers through the VAR for VaR model, Journal of Sustainable Finance & Investment, DOI: 10.1080/20430795.2022.2105788
Banks’ governance and risk management frameworks: how to integrate ESG and climate risks
Maria Fedele2023-01-31T15:19:16+01:00Cite: G. Birindelli, M. Bruno, A. Citterio, U. Fuso, G. L. Genero, A. Magurano (2022), Banks’ governance and risk management frameworks: how to integrate ESG and climate risks, Risk Management Magazine, Vol. 17, Issue 1, January – April, ISSN Print 2612-3665 – ISSN Online 2724-2153
Covid-19 outbreak and Credit Constraints for Women-Led Firms
Maria Fedele2023-01-31T15:01:35+01:00Cite: G. Birindelli, C. Capozza, A.P. Iannuzzi (2022), Covid-19 outbreak and Credit Constraints for Women-Led Firms, in P. Paoloni, R. Lombardi (eds), Organizational Resilience and Female Entrepreneurship During Crises. Emerging Evidence and Future Agenda, Springer, SIDREA Series in Accounting and Business Administration, ISBN 978-3-030-89411-5 ISBN 978-3-030-89412-2 (eBook) https://link.springer.com/book/9783030894122
The Internationalization of Italian Banks: Direction and Organizational Reshaping
Maria Fedele2023-01-27T16:42:15+01:00Cite: Giuliana Birindelli, Silvia Del Prete (2010), “The Internationalization of Italian Banks: Direction and Organizational Reshaping”, Journal of Money, Investment and Banking, Issue 18.
Compliance function in Italian banks: organizational issues
Maria Fedele2023-01-27T16:41:50+01:00Cite: Giuliana Birindelli, Paola Ferretti (2013), “Compliance function in Italian banks: organizational issues”, Journal of Financial Regulation and Compliance, Vol. 21 No. 3.