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SALVATORE POLIZZI

Curriculum and Research

POLIZZI SALVATORE

SALVATORE POLIZZI

 (ECON-09/B)

Scienze Economiche, Aziendali e Statistiche

Contacts

salvatore.polizzi@unipa.it

Curriculum not available

Subjects

Academic Year Subject identification code Subject name ECTS Course of study
2024/2025 02739 ECONOMIA E GESTIONE DEGLI INTERMEDIARI FINANZIARI 8 ECONOMIA E AMMINISTRAZIONE AZIENDALE

Publications

Date Title Type Record
2024 Cartolarizzazione, società veicolo e servicer. Profili economico-finanziari, normativi, disclosure Monografia Go to
2024 Assessing the Gap: Environmental Claims vs Lending Practices in European Banks Altro Go to
2024 Corruption-related disclosure in the banking industry: evidence from GIPSI countries Articolo in rivista Go to
2024 ESG and asset quality in the banking industry: The moderating role of financial performance Articolo in rivista Go to
2024 Do Banks Practice What They Preach? Brown Lending and Environmental Disclosure in the Euro Area Articolo in rivista Go to
2023 Do banks practice what they preach? Brown lending and environmental disclosure in the euro area Articolo in rivista Go to
2023 Persistency of window dressing practices in the US repo markets after the GFC: The unexplored role of the deposit insurance premium Articolo in rivista Go to
2023 La disclosure ambientale in Europa: evidenze dalle aziende quotate dell’Indice Euro Stoxx50 Articolo in rivista Go to
2023 Continuous auditing in public sector and central banks: a framework to tackle implementation challenges Articolo in rivista Go to
2023 ESG and Asset Quality in the Banking Industry: The Moderating Role of Financial Performance Abstract in atti di convegno pubblicato in volume Go to
2023 Do banks practice what they preach? Brown lending and environmental disclosure in the euro area Monografia Go to
2023 Corporate environmental disclosure in Europe: the effects of the regulatory environment Articolo in rivista Go to
2023 CSR disclosure in banking: A qualitative literature review Articolo in rivista Go to
2023 Do banks practice what they preach? Brown lending and environmental disclosure in the euro area Monografia Go to
2023 Corruption Disclosure in Banking: Insights from the Literature Capitolo o Saggio Go to
2022 A qualitative analysis of bank credit risk disclosure: Evidence from the Canadian and Italian banking sectors Articolo in rivista Go to
2022 Quality assurance and improvement program: some considerations for central banks Articolo in rivista Go to
2022 Internal audit professional principles and academic literature over the last decade: is there a gap to bridge Articolo in rivista Go to
2022 Risk Disclosure in the European Banking Industry: Qualitative and Quantitative Content Analysis Methodologies Monografia Go to
2022 European Banking Union and bank risk disclosure: the effects of the Single Supervisory Mechanism Articolo in rivista Go to
2021 Così Funziona a Wall Street Articolo in rivista Go to
2021 How to measure bank credit risk disclosure? Testing a new methodological approach based on the content analysis framework Articolo in rivista Go to
2021 Centralised or decentralised banking supervision? Evidence from European banks Articolo in rivista Go to
2020 Indicatori Chiave Per L’IA: il Metodo Bankitalia Articolo in rivista Go to
2020 The Role of Capital and Liquidity in Bank Lending: Are Banks Safer? Articolo in rivista Go to
2020 An empirical investigation into market risk disclosure: is there room to improve for Italian banks? Articolo in rivista Go to
2020 A critical re-examination of the academic literature on venture capital networks Articolo in rivista Go to
2019 An analysis of recent research on venture capital networks Contributo in atti di convegno pubblicato in volume Go to
2019 Credit Risk Disclosure Practices in the Annual Financial Reporting of Large Italian Banks Capitolo o Saggio Go to
2019 Do Large European Banks Differ in their Derivative Disclosure Practices? A Cross-country Empirical Study. Articolo in rivista Go to
2018 Credit Risk Disclosure Practices in the Annual Financial Reporting of Large Italian Banks: An Empirical Study Contributo in atti di convegno pubblicato in volume Go to
2018 Derivative Disclosure Practices in the Annual Financial Reporting of Large European Banks: A Cross-country Empirical Study Abstract in atti di convegno pubblicato in volume Go to
2018 Market risk disclosure in banking: an empirical analysis on four global systemically important European banks Articolo in rivista Go to
2017 Market risk reporting in banking overcoming the limits of IAS/IFRS and Basel regulation Articolo in rivista Go to