ZAGAGLIA, PAOLO
Dettaglio
ZAGAGLIA, PAOLO
DIPARTIMENTO DI BENI CULTURALI
Docenti di ruolo di IIa fascia
Pubblicazioni
Risultati 1 - 20 di 29 (tempo di esecuzione: 0.001 secondi).
Titolo | Autore(i) | Anno | Periodico | Editore | Tipo | File | |
---|---|---|---|---|---|---|---|
1 | A note on the conditional correlation between energy prices: Evidence from future markets | Marzo M.; Zagaglia P. | 2008 | ENERGY ECONOMICS | 1.01 Articolo in rivista | - | |
2 | Asymmetric Information and Term Lending in the Euro Money Market: Evidence from the Beginning of the Turmoil | P. Zagaglia; M. Marzo | 2014 | THE QUARTERLY REVIEW OF ECONOMICS AND FINANCE: JOURNAL OF THE MIDWEST ECONOMICS ASSOCIATION | 1.01 Articolo in rivista | - | |
3 | A Continuous Time Model of the Term Structure of Interest Rates with Fiscal-Monetary Policy Interactions | Massimiliano, Marzo; Silvia, Romagnoli; Paolo, Zagaglia | 2013 | COMMUNICATIONS IN MATHEMATICAL FINANCE | 1.01 Articolo in rivista | - | |
4 | Convergence and clustering of Tier 1 capital in the European banking sector: a non-linear factor approach | N. Apergis; A. Gabrielsen; J. E. Payne; P. Zagaglia | 2012 | INTERNATIONAL JOURNAL OF MONETARY ECONOMICS AND FINANCE | 1.01 Articolo in rivista | - | |
5 | Did the turmoil affect money-market segmentation in the Euro area? | P. Zagaglia | 2010 | APPLIED ECONOMICS LETTERS | 1.01 Articolo in rivista | - | |
6 | Distortionary tax instruments and implementable monetary policy | L.Marattin; M.Marzo;P.Zagaglia | 2013 | INTERNATIONAL REVIEW OF ECONOMICS & FINANCE | 1.01 Articolo in rivista | - | |
7 | Drivers of demand and supply in the Euro interbank market: the role of “Key Players” during the recent turmoil | Liberati, C.; Marzo, M.; Zagaglia, P.; Zappa, P. | 2015 | FINANCIAL MARKETS AND PORTFOLIO MANAGEMENT | 1.01 Articolo in rivista | ||
8 | Effective Trade Execution | R.Cesari; M. Marzo; P.Zagaglia | 2012 | Oxford University Press | 2.01 Capitolo / saggio in libro | - | |
9 | Forecasting Long-Term Interest Rates with a General-Equilibrium Model of the Euro Area: What Role for Liquidity Services of Bonds? | Zagaglia P. | 2013 | ASIA PACIFIC FINANCIAL MARKETS | 1.01 Articolo in rivista | - | |
10 | Forecasting Value-at-Risk with Time-Varying Variance, Skewness and Kurtosis in an EWMA Framework | A. Gabrielsen; A. Kirchner; Z. Liu; P. Zagaglia; | 2015 | ANNALS OF FINANCIAL ECONOMICS | 1.01 Articolo in rivista | - | |
11 | Fractional integration of inflation rates: a note | P. Zagaglia | 2009 | APPLIED ECONOMICS LETTERS | 1.01 Articolo in rivista | - | |
12 | Gold and the U.S. Dollar: Tales from the Turmoil | M.Marzo; P.Zagaglia | 2013 | QUANTITATIVE FINANCE | 1.01 Articolo in rivista | - | |
13 | How reliable are Taylor rules? A view from asymmetry in the U.S. Fed funds rate | P. Zagaglia | 2006 | ECONOMICS BULLETIN | 1.01 Articolo in rivista | - | |
14 | The Impact of the 2004 Reform of the Operational Framework of the ECB:Structural GARCH Evidence | Marzo, Massimiliano; Zagaglia, Paolo | 2013 | JOURNAL OF FINANCE AND INVESTMENT ANALYSIS | 1.01 Articolo in rivista | - | |
15 | International diversification for portfolios of European fixed-income mutual funds: The case of core EMU countries | Zagaglia, Paolo | 2017 | MANAGERIAL FINANCE | 1.01 Articolo in rivista | - | |
16 | The joint dynamics of oil futures prices in the NYMEX and ICE: Evidence from a Structural GARCH Model | F. Spargoli; P. Zagaglia | 2009 | Nova Science Publishers Inc. | 2.01 Capitolo / saggio in libro | - | |
17 | Lo stress testing e le procedure di controllo nel sistema bancario: un modello per il Credito Cooperativo | Marzo M.; Zagaglia P. | 2011 | Il Mulino | 2.01 Capitolo / saggio in libro | - | |
18 | Macroeconomic factors and oil futures prices: A data-rich model | P. Zagaglia | 2010 | ENERGY ECONOMICS | 1.01 Articolo in rivista | - | |
19 | Macroeconomic Stability in a Model with Bond Transaction Services | Marzo, Massimiliano; Zagaglia, Paolo | 2018 | INTERNATIONAL JOURNAL OF FINANCIAL STUDIES | 1.01 Articolo in rivista | ||
20 | Measuring and Modelling the Market Liquidity of Stocks: Methods and Issues | Gabrielsen, Alexandros; Marzo, Massimiliano; Zagaglia, Paolo | 2012 | JOURNAL OF FINANCE AND INVESTMENT ANALYSIS | 1.01 Articolo in rivista | - |