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Title
Cited by
Cited by
Year
Capital and asset quality implications for bank resilience and performance in the light of NPLs’ regulation: a focus on the Texas ratio
G Velliscig, J Floreani, M Polato
Journal of Banking Regulation 24 (1), 66-88, 2023
262023
The economics of the global stock exchange industry
J Floreani, M Polato
Springer, 2013
172013
Assessing the influence of ESG score, industry, and stock index on firm default risk: A sustainable bank lending perspective
E Palmieri, GB Ferilli, V Stefanelli, EF Geretto, M Polato
Finance Research Letters 57, 104274, 2023
102023
Religion, governance and performance: evidence from Islamic and conventional stock exchanges
M Polato, J Floreani, A Paltrinieri, F Pichler
Journal of Management & Governance 20, 591-623, 2016
102016
Credit quality, bank provisioning and systematic risk in banking business
J Floreani, M Polato, A Paltrinieri, F Pichler
Bank risk, governance and regulation, 1-34, 2015
102015
Business diversification in the securities industry: Implications for the exchanges
M Polato, J Floreani
Transition Studies Review 15, 281-288, 2008
92008
Quotazione in borsa e negoziazione a contante di strumenti finanziari azionari. Profili operativi e regolamentari
J Floreani, M Polato
G Giappichelli Editore, 2012
52012
Measuring value in stock exchanges’ mergers, in ‘‘Consolidation in the European Financial Industry
M Polato, J Floreani
Consolidation in the European Financial Industry. Palgrave, Basingstoke, 182-206, 2010
52010
Consolidation and business strategies in the securities industry: how securities exchanges create value?
J Floreani, M Polato
Research in World Economy 1 (1), 28, 2010
42010
Banks and the value chain in the securities industry: the Italian case
M Polato, J Floreani
Transition Studies Review 13, 111-130, 2006
42006
How do bail-in amendments in Directive (EU) 2017/2399 affect the subordinated bond yields of EU G-SIBs?
G Velliscig, J Floreani, M Polato
Journal of Empirical Finance 68, 173-189, 2022
32022
A revision of Altman’s Z-Score for SMEs: suggestions from the Italian Bankruptcy Law and pandemic perspectives
F Beltrame, G Velliscig, G Zorzi, M Polato
Department of Management, Università Ca'Foscari Venezia Working Paper, 2022
32022
I sistemi di alert per le PMI nel nuovo contesto istituzionale. Gestione della crisi e riflessi sul rapporto banca-impresa
J Floreani, M Polato
Quaderni di ricerca sull'artigianato 6 (3), 419-442, 2018
32018
Cross border mergers and value creation in the exchange industry: The case of diversified conglomeral exchanges
M Polato, J Floreani
Proceedings from WOLPERTINGER, 2009
32009
Listing, trading e post trading nel mercato azionario italiano. Profili operativi e regolamentari nel contesto della nuova MiFID
M Polato, J Floreani
G. Giappichelli Editore, 2008
32008
Mercato della base monetaria e comportamento delle banche
M Polato
Giappichelli, 1995
31995
" Separatezza” e “coerenza” valutativa nel bilancio delle banche: i prodotti derivati
M Polato
31994
European banks’ business models as a driver of strategic planning: one size fits all
E Palmieri, EF Geretto, M Polato
Journal of Financial Regulation and Compliance 31 (1), 16-39, 2023
22023
Performance Esg e impatti sulle probabilità di default a medio-lungo termine: il caso europeo
E Palmieri, EF Geretto, M Polato
RIVISTA BANCARIA. MINERVA BANCARIA 6, 20-41, 2022
22022
Disentangling the Texas ratio: the case of the Italian banking sector
A Ferrarin, M Polato, G Velliscig
International Journal of Managerial and Financial Accounting 12 (3-4), 217-241, 2020
22020
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