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Andrea Polo
Andrea Polo
Luiss University, Pompeu Fabra University, EIEF, Barcelona GSE
Zweryfikowany adres z luiss.it - Strona główna
Tytuł
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Regulatory sanctions and reputational damage in financial markets
J Armour, C Mayer, A Polo
Journal of Financial and Quantitative Analysis 52 (4), 1429-1448, 2017
2392017
Double bank runs and liquidity risk management
F Ippolito, JL Peydró, A Polo, E Sette
Journal of Financial Economics 122 (1), 135-154, 2016
1572016
Negative monetary policy rates and portfolio rebalancing: Evidence from credit register data
M Bottero, MC Minoiu, JL Peydró, A Polo, MAF Presbitero, E Sette
International Monetary Fund, 2019
1222019
Does mandatory shareholder voting prevent bad acquisitions?
M Becht, A Polo, S Rossi
The Review of financial studies 29 (11), 3035-3067, 2016
1122016
Monetary policy at work: Security and credit application registers evidence
JL Peydró, A Polo, E Sette
Journal of Financial Economics 140 (3), 789-814, 2021
992021
Corporate governance of banks: the current state of the debate
A Polo
Available at SSRN 958796, 2007
872007
Restarting European long-term investment finance: a green paper discussion document
A Giovannini, C Mayer, S Micossi, C Di Noia, M Onado, M Pagano, A Polo
CEPR Press and Assonime, 2015
612015
The Italian chamber of lords sits on listed company boards: an empirical analysis of Italian listed company boards from 1998 to 2006
P Santella, C Drago, A Polo
Available at SSRN 1027947, 2009
512009
Loan guarantees, bank lending and credit risk reallocation
C Altavilla, A Ellul, M Pagano, A Polo, T Vlassopoulos
CEPR Discussion Paper No. DP16727, 2021
482021
Expansionary yet different: credit supply and real effects of negative interest rate policy
M Bottero, C Minoiu, JL Peydró, A Polo, AF Presbitero, E Sette
Journal of Financial Economics 146 (2), 754-778, 2022
442022
Hedger of last resort: Evidence from Brazilian FX interventions, local credit, and global financial cycles
R Gonzalez, D Khametshin, JL Peydró, A Polo
Banco de Espana Working Paper, 2021
312021
A comparison of the director networks of the main listed companies in France, Germany, Italy, the United Kingdom, and the United States
P Santella, C Drago, A Polo, E Gagliardi
Germany, Italy, the United Kingdom, and the United States (January 20, 2009), 2009
192009
Climate risk, bank lending and monetary policy
C Altavilla, M Boucinha, M Pagano, A Polo
Bank Lending and Monetary Policy (October 18, 2023), 2023
132023
A Comparison among the director networks in the main listed companies in France, Germany, Italy, and the United Kingdom.
P Santella, C Drago, A Polo, E Gagliardi
122009
Finance and investment: The European case
C Mayer, S Micossi, M Onado, M Pagano, A Polo
Oxford University Press, 2017
112017
Risk mitigating versus risk shifting: Evidence from banks security trading in crises
JL Peydró, A Polo, E Sette, V Vanasco
European Corporate Governance Institute–Finance Working Paper 713, 2020, 2023
82023
Negative policy rates and bank asset allocation: Evidence from the Italian credit and security registers
M Bottero, C Minoiu, JL Peydró, A Polo, A Presbitero, E Sette
mimeo, 2018
82018
Secured creditor control in bankruptcy: Costs and conflict
A Polo
Available at SSRN 2084881, 2012
62012
Una comparazione tra le reti di amministratori nelle principali società quotate in Italia, Francia e Gran Bretagna
P Santella, C Drago, A Polo, E Gagliardi
L'industria 29 (2), 271-288, 2008
62008
Hedger of Last Resort: Evidence from Brazil on FX Interventions, Local Credit and Global Financial Cycles
R Barbone Gonzalez, D Khametshin, JL Peydró, A Polo
Kiel, Hamburg: ZBW-Leibniz Information Centre for Economics, 2022
52022
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