Browsing All of EconStor by Author Giuzio, Margherita
Showing results 1 to 8 of 8
Year of Publication | Title | Author(s) |
2019 | The effect of possible EU diversification requirements on the risk of banks' sovereign bond portfolios | Craig, Ben R.; Giuzio, Margherita; Paterlini, Sandra |
2019 | Insurers' investment strategies: Pro- or countercyclical? | Rousová, Linda; Giuzio, Margherita |
2020 | The effect of possible EU diversification requirements on the risk of banks' sovereign bond portfolios | Craig, Ben R.; Giuzio, Margherita; Paterlini, Sandra |
2021 | The low-carbon transition, climate commitments and firm credit risk | Carbone, Sante; Giuzio, Margherita; Kapadia, Sujit; Krämer, Johannes Sebastian; Nyholm, Ken; Vozian, Katia |
2021 | Investment funds, risk-taking, and monetary policy in the euro area | Giuzio, Margherita; Kaufmann, Christoph; Ryan, Ellen; Cappiello, Lorenzo |
2022 | The low-carbon transition, climate commitments and firm credit risk | Carbone, Sante; Giuzio, Margherita; Kapadia, Sujit; Krämer, Johannes Sebastian; Nyholm, Ken; Vozian, Katia |
2022 | Are ethical and green investment funds more resilient? | Capotæa, Laura-Dona; Giuzio, Margherita; Kapadia, Sujit; Salakhova, Dilyara |
2023 | Financing the low-carbon transition in Europe | Carradori, Olimpia; Giuzio, Margherita; Kapadia, Sujit; Salakhova, Dilyara; Vozian, Katia |