NICOLOSI, MARCO

NICOLOSI, MARCO  

DIPARTIMENTO DI METODI E MODELLI PER L'ECONOMIA, IL TERRITORIO E LA FINANZA  

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Titolo Data di pubblicazione Autore(i) File
A new measure of the resilience for networks of funds with applications to socially responsible investments 2022 Cerqueti, R.; Ciciretti, R.; Dalo, A.; Nicolosi, M.
A Socially Responsible Portfolio Selection Strategy 2013 Herzel, Stefano; Nicolosi, Marco
Corporate social responsibility and responsible investment in Italy: An overview 2015 Rocco, Ciciretti; Annalisa, Fabretti; Nicolosi, Marco
Dynamic portfolio management with views at multiple horizons 2016 Meucci, A.; Nicolosi, Marco
ESG investing: A chance to reduce systemic risk 2021 Cerqueti, Roy; Ciciretti, Rocco; Dalò, Ambrogio; Nicolosi, Marco
Expected shortfall and portfolio management in contagious markets 2019 Buccioli, Alice; Kokholm, Thomas; Nicolosi, Marco
Hedging Error in Lévy models with a Fast Fourier Transform approach 2008 Angelini, Flavio; Nicolosi, Marco
How to Measure Corporate Social Responsibility 2011 Nicolosi, Marco; Grassi, Stefano; Stanghellini, Elena
Item response models to measure corporate social responsibility 2014 Nicolosi, Marco; Grassi, Stefano; Stanghellini, Elena
Mitigating Contagion Risk by ESG Investing 2022 Cerqueti, R.; Ciciretti, R.; Dalo, A.; Nicolosi, M.
On tadpoles and vacuum redefinitions in String Theory 2005 Dudas, E.; Nicolosi, Marco; Pradisi, G.; Sagnotti, A.
On the Effect of Skewness and Kurtosis Misspecification on the Hedging Error 2010 Angelini, Flavio; Nicolosi, Marco
On the relationship between financial and sustainable variables: insights from graphical gaussian model 2024 Da Fermo, Carmine; Tanzi, Paola Musile; Nicolosi, Marco; Stanghellini, Elena
Optimal strategies with option compensation under mean reverting returns or volatilities 2019 Herzel, Stefano; Nicolosi, Marco
Optimal Strategy for a Fund Manager with Option Compensation 2018 Nicolosi, M.
Portfolio allocation in actively managed funds 2017 Herzel, Stefano; Nicolosi, Marco
Portfolio management with benchmark related incentives under mean reverting processes 2018 Nicolosi, Marco; Angelini, Flavio; Herzel, Stefano
Probabilities of transitions among endogenous regimes in asset returns and Environmental, Social and Governance scores 2024 Cerqueti, Roy; Da Fermo, Carmine; Nicolosi, Marco
The cost of sustainability in optimal portfolio decisions 2012 Herzel, Stefano; Nicolosi, Marco; C., Starica
The cost of sustainability on optimal portfolio choices 2011 Herzel, Stefano; Nicolosi, Marco; Catalin, Starica