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Giampaolo Gabbi
Giampaolo Gabbi
Bocconi University
Verified email at sdabocconi.it
Title
Cited by
Cited by
Year
A network analysis of the Italian overnight money market
G Iori, G De Masi, OV Precup, G Gabbi, G Caldarelli
Journal of Economic Dynamics and Control 32 (1), 259-278, 2008
7162008
Which factors affect corporate bonds pricing? Empirical evidence from eurobonds primary market spreads
G Gabbi, A Sironi
The European Journal of Finance 11 (1), 59-74, 2005
1672005
Evolution of controllability in interbank networks
D Delpini, S Battiston, M Riccaboni, G Gabbi, F Pammolli, G Caldarelli
Scientific reports 3 (1), 1626, 2013
1112013
How material is a material issue? Stock returns and the financial relevance and financial intensity of ESG materiality
C Consolandi, RG Eccles, G Gabbi
Journal of Sustainable Finance & Investment 12 (4), 1045-1068, 2022
692022
Risk management for Italian non‐financial firms: Currency and interest rate exposure
GM Bodnar, C Consolandi, G Gabbi, A Jaiswal‐Dale
European Financial Management 19 (5), 887-910, 2013
692013
Hedging with futures: Efficacy of GARCH correlation models to European electricity markets
G Zanotti, G Gabbi, M Geranio
Journal of International Financial Markets, Institutions and Money 20 (2 …, 2010
622010
Financial regulations and bank credit to the real economy
G Gabbi, G Iori, S Jafarey, J Porter
Journal of Economic Dynamics and Control 50, 117-143, 2015
602015
Financial systems in financial crisis—An analysis of banking systems in the EU
D Detzer, J Creel, F Labondance, S Levasseur, M Shabani, J Toporowski, ...
Intereconomics 49, 56-87, 2014
402014
Measuring liquidity risk in a banking management framework
G Gabbi
Managerial Finance 30 (5), 44-58, 2004
302004
Definizione, misurazione e gestione del rischio reputazionale degli intermediari bancari
G Gabbi
Banca Impresa Società 23 (1), 51-80, 2004
272004
Firm size and compliance costs asymmetries in the investment services
G Gabbi, P Musile Tanzi, L Nadotti
Journal of Financial Regulation and Compliance 19 (1), 58-74, 2011
212011
Asset correlations and bank capital adequacy
G Gabbi, P Vozzella
The European Journal of Finance 19 (1), 55-74, 2013
182013
Default and asset correlation: An empirical study for Italian SMEs
P Vozzella, G Gabbi
Available at SSRN 1532222, 2010
182010
A survey on risk management and usage of derivatives by non-financial Italian firms
GM Bodnar, C Consolandi, G Gabbi, A Jaiswal-Dale
CAREFIN Research Paper, 2008
182008
The biocapacity adjusted economic growth. Developing a new indicator
G Gabbi, M Matthias, N Patrizi, FM Pulselli, S Bastianoni
Ecological Indicators 122, 107318, 2021
162021
Semi-correlations as a tool for geographical and sector asset allocation
G Gabbi
European Journal of Finance 11 (3), 271-281, 2005
152005
Reduction of systemic risk by means of Pigouvian taxation
V Zlatić, G Gabbi, H Abraham
PloS one 10 (7), e0114928, 2015
142015
Which factors affect corporate bond pricing
G Gabbi, A Sironi
Empirical evidence, 2002
142002
Credit risk migration and economic cycles
C Ferretti, G Gabbi, P Ganugi, F Sist, P Vozzella
Risks 7 (4), 109, 2019
132019
Modeling hard and soft facts for SMEs: Some international evidence
M Matthias, M Giammarino, G Gabbi
Journal of International Financial Management & Accounting 30 (3), 203-222, 2019
132019
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