DIA, ENZO
DIA, ENZO
DIPARTIMENTO DI ECONOMIA, METODI QUANTITATIVI E STRATEGIE DI IMPRESA
A Reconciliation of the Evidence about Bank Lending with Portfolio Theory
2002 Dia, E
Ordine spontaneo e regole: l’ottimalità dei vincoli all’agire umano
2002 Dia, E
Imperfect Information and Monopolistic Pricing in the Banking Industry
2004 Dia, E
The bank’s risk insurance and the EMU
2004 Dia, E
Monopolistic Pricing in the Banking Industry: a Dynamic Model
2004 Dia, E
Uncertainty, Information, and Trust in Banking Intermediation
2007 Dia, E
Investment and External Finance: An Empirical Analysis
2007 Dia, E; Casalin, F
The Determinants of Bank Interest Margins: Estimates of a Dynamic Model
2009 Dia, E; Giulidori, M
Financial Market Volatility and Primary Placements
2009 Dia, E; Casalin, F
Financial market volatility and primary placements
2009 Casalin, F; Dia, E
Il credito e l’evoluzione degli intermediari bancari
2010 Dia, E
The Diversification Benefits of Universal Banking
2010 Dia, E; Casalin, F
Uncertainty, trust, and the regulation of the banking industry
2011 Dia, E
Portfolio Separation and the Dynamics of Bank Interest Rates
2012 Giuliodori, M; Dia, E
Security issuance and the business cycle
2013 Casalin, F; Dia, E
How Do Banks Respond to Shocks? A Dynamic Model of Deposit-Taking Institutions
2013 Dia, E
Adjustment costs, financial frictions and aggregate investment
2014 Casalin, F; Dia, E
When the Crisis Hits: monetary policy, liquidity provision, and sovereign bailouts in the EU
2015 Dia, E
Productivity shocks, Capital intensities, And bank interest rates
2016 Dia, E; Menna, L
The dynamic interrelation between external finance and bank credit
2016 Casalin, F; Dia, E