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Giacomo Nocera
Giacomo Nocera
Audencia Business School
Verified email at audencia.com - Homepage
Title
Cited by
Cited by
Year
Ownership structure, risk and performance in the European banking industry
G Iannotta, G Nocera, A Sironi
Journal of banking & finance 31 (7), 2127-2149, 2007
15732007
The Impact of Government Ownership on Bank Risk
G Iannotta, G Nocera, A Sironi
Journal of Financial Intermediation 22 (2), 152-176, 2013
3982013
Do Investors care about Credit Ratings? An Analysis through the Cycle
G Iannotta, G Nocera, A Resti
An Analysis Through the Cycle (July 25, 2011), 2011
532011
The credibility of European banks’ risk-weighted capital: structural differences or national segmentations?
B Bruno, G Nocera, A Resti
BAFFI CAREFIN Centre Research Paper, 2015
402015
Greening the financial sector: Evidence from bank green bonds
M Bedendo, G Nocera, L Siming
Journal of Business Ethics 188 (2), 259-279, 2023
332023
Are risk-based capital requirements detrimental to corporate lending? Evidence from Europe
B Bruno, G Nocera, A Resti
CEPR Discussion Paper No. DP12007, 2017
172017
Experience and brokerage in asset markets: Evidence from art auctions
B Bruno, E Garcia‐Appendini, G Nocera
Financial Management 47 (4), 833-864, 2018
16*2018
A multivariate model of strategic asset allocation with longevity risk
E Bisetti, CA Favero, G Nocera, C Tebaldi
Journal of Financial and Quantitative Analysis 52 (5), 2251-2275, 2017
162017
Who are the SPAC CEOs?
M Blomkvist, G Nocera, M Vulanovic
Available at SSRN 3803665, 2021
122021
The Impact of Government Ownership on Bank Risk and Lending Behaviour
G Iannotta, G Nocera, A Sironi
Available at SSRN 1774887, 2011
102011
Investing in Art: the Informational Content of Italian Painting Pre-Sale Estimates
B Bruno, G Nocera
Available at SSRN 1179183, 2008
62008
Does asset encumbrance affect bank risk? Evidence from covered bonds
E Garcia-Appendini, S Gatti, G Nocera
Journal of Banking & Finance 146, 106705, 2023
52023
Covered bonds, asset encumbrance and bank risk: Evidence from the European banking industry
E Garcia-Appendini, S Gatti, G Nocera
FMA Annual Meeting, Boston, 2017
52017
Unbundling the expense ratio: hidden distribution costs in european mutual fund markets
M Navone, G Nocera
European Financial Management 22 (4), 640-666, 2016
52016
Pension funds in Italy
S Paci, P Contaldo, C Fiorentino, G Nocera, L Spotorno, F Vallacqua
Carefin, 2010
52010
Multiattribute assessment of the financial performance of non-life insurance companies: Empirical evidence from Europe
M Doumpos, E Galariotis, G Nocera, C Zopounidis
Financial Decision Aid Using Multiple Criteria: Recent Models and …, 2018
42018
The Impact of Longevity Risk on the Term Structure of the Risk-Return Tradeoff
E Bisetti, CA Favero, G Nocera, C Tebaldi
22012
Le forme organizzative nell'assicurazione islamica: implicazioni della teoria dell'agenzia sul comparto family takaful
F Miglietta, G Nocera
II edizione Convegno ADEIMF, 2008
22008
Internal ratings and bank opacity: Evidence from analysts’ forecasts
B Bruno, I Marino, G Nocera
Journal of Financial Intermediation 56, 101062, 2023
12023
L'impatto della proprietà pubblica sul rating delle banche in Europa.
GO Iannotta, G Nocera, A Sironi
Bancaria, 23-37, 2009
12009
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