Adeimf.it

  • Convegno Settembre 2011 – Novara

    Convegno ADEIMF – Novara, 9-10 settembre 2019

    Venerdì, 9 settembre

    Saluti e introduzione al Convegno (Locandina)

    Presentazione del progetto “Osservatorio sulle relazioni tra PMI e sistema finanziario”, L. Munari (Slide)

    Sessione parallela 1 – Corporate and SME Lending (coordinatore R. Corigliano)

    • Banking group gtructure and subsidiary banks lending activity before and during the international crisis, S. Rossi (Paper)

    Discussant: G. Lusignani

    • Mutual guarantee schemes and SME finance: a cross-country comparison, G. Vento e P. Porretta (Paper)

    Discussant: S. Dell’Atti

    • Do geographical distance and diversification really matter for bank market power?, M. Degl’Innocenti e G. Torluccio (Paper)
    Discussant: M. Belcredi

    Sessione parallela 2 – Corporate and investment banking (coordinatore  V. Capizzi)

    • Delistings controlling shareholders and firm performance In Europe, E. Croci e A. Del Giudice (Paper )

    Discussant: G.M. Chiesi
    • Capital adequacy, financial leverage and funding costs in the banking system: how may they affect cedit price?, P. Di Biase e E. D’Apolito (Paper)
    Discussant: V. Capizzi
    • Corporate insurance and debt capacity: the point of view of banks and insurance companies in italy, F. Santoboni e A. Vincioni (Paper)
    Discussant: E. Beccalli

    Sessione parallela 3 –   Insurance companies and financial conglomerates (coordinatore P. Musile Tanzi)

    • Shareholder value creation from strategic alliances in financial institutions, F. Fiordelisi, F. Sist, O. Ricci, F. Masala (Paper)

    Discussant: F. Tutino

    • Loss reserve manipulation: incentives and the impact of governance structure, M.G. Sarita, A. Meles, I. Malafronte e S. Monferrà (Paper)

    Discussant: L. Nadotti

    •  The value relevance of embedded value disclosures: evidence from european life insurance companies, E. Tudini, J. Mattei, G. Forte (Paper)

    Discussant: S. Miani

    • Integration between bank and insurance: effects on concentration and competition in the Italian life insurance markets, M. Schneider (Paper)

    Discussant: R. Locatelli

    Sessione parallela 4 –   Financial markets and investments (coordinatore A. Banfi)

    • Market reaction to second-hand news: attention grabbing or information dissemination?, R. Ferretti, E. Cervellati, P. Pattinoni (Paper)

    Discussant: P. Bongini

    • The risk-return relationship for structured products and risk free bonds: is the direct link really correct?, F. Pampurini

    Discussant: C. Lucarelli

    • Fundamentalist exchange rate trading performances, J. Mattei, E. Tudini e G. Forte (Paper)

    Discussant: M. Geranio

    Sabato, 10 settembre

    La qualificazione scientifica dei professori universitari nella Legge 240 del 2010:”criteri” e “parametri” ministeriali e valutazione della qualità della ricerca, A. Carretta (Presidente AIDEA) (Slide e Assessment AIDEA)

    Finanziamento del sistema universitario e nuovi assetti delle università, F. Favotto (CUN) (Slide)

     

    Sessione parallela 5 – Bank performance, efficiency and competition (coordinatore F. Tutino)

    • Modeling efficiency, credit risk and performance in a heterogeneous banking system, P. Brighi e C. Bernini (Paper)

    Discussant: L. Nieri

    • Are sanctions effective in improving bank performance? Evidence from Italian puzzle, V. Pesic, P. Murè e C. Lo Cascio (Paper)

    Discussant: M.L. DI Battista

    • The effect of securitization on banks performance. Evidence from Italy, M. Mazzuca e F. Battaglia (Paper)

    Discussant: R. Tasca

    • Efficiency of Italian asset managmenent companies, G. Borello e F. Pampurini (Paper)

    Discussant: E. Carluccio

    Sessione parallela 6 – Bank risk and capital (coordinatore A. Alberici)

    • Asymmetry of information in determining the optimal capital structure of a bank: Steady State of capital structure and Equitization of Debt, F. Giuliani (Paper)

    Discussant: G. Sampagnaro

    • Managing compliance risk after MiFID, P. Musile Tanzi, G. Gabbi, D. Previati e P. Schwizer (Paper)

    Discussant: M. Masini

    • “Pillar II” risks: a comparison of risk type permiter in italian banks, F. Ielasi (Paper)

    Discussant: A. Alberici

    Sessione parallela 7 – Corporate and financial institutions governance (coordinatore R. Ferretti)

    • Board diversity and firm performance, M.G. Soana, P. Schwizer e D. Cucinelli (Paper)

    Discussant: P. Vezzani

    • Corporate Governance and Bank Performance in Italy, C. Bussoli (Paper)

    Discussant: G. De Laurentis

    • Soundness and disclosure of remuneration practice in the financial industry: an empirical analysis for Italian listed, A. Jannuzzi (Paper)

    Discussant: C. Porzio

    Sessione parallela 8 – Asset allocation (coordinatore D. Drago)

    • Portfolio optimization by a genetic algorithm, V. Pacelli e V. Bevilacqua (Paper)
    Discussant: P. Cucurachi

    • Comparison between Cap-weighted and Equally weighted indexes in the European equity market, E. Bolognesi e A. Zuccheri (Paper)

    Discussant: A. Fasano

    • Financial education of University students: an analysis of the determinants, L. Poletti, M.A. Milioli e B. Ronchini (Paper)

    Discussant: M.R. Borroni

    • Investing in art: the informational content of Italian painting pre-sale estimates, B. Bruno e G. Nocera (Paper)

    Discussant: D. Drago