Підписатись
Salvatore Polizzi
Salvatore Polizzi
Assistant Professor in Banking & Finance, University of Palermo, Italy
Підтверджена електронна адреса в unipa.it - Домашня сторінка
Назва
Посилання
Посилання
Рік
The Role of Capital and Liquidity in Bank Lending: Are Banks Safer?
S Polizzi, E Scannella, N Suárez
Global Policy 11, 28-38, 2020
292020
How to measure bank credit risk disclosure? Testing a new methodological approach based on the content analysis framework
E Scannella, S Polizzi
Journal of Banking Regulation 22 (1), 73-95, 2021
252021
Centralised or decentralised banking supervision? Evidence from European banks
G Avignone, Y Altunbas, S Polizzi, A Reghezza
Journal of International Money and Finance 110, 102264, 2021
252021
An empirical investigation into market risk disclosure: is there room to improve for Italian banks?
S Polizzi, E Scannella
Journal of Financial Regulation and Compliance 28 (3), 465-483, 2020
212020
Market risk disclosure in banking: an empirical analysis on four global systemically important European banks
E Scannella, S Polizzi
Journal of Banking Regulation 19 (2), 87-100, 2018
212018
European Banking Union and bank risk disclosure: the effects of the Single Supervisory Mechanism
Y Altunbaş, S Polizzi, E Scannella, J Thornton
Review of Quantitative Finance and Accounting 58 (2), 649-683, 2022
132022
Do Large European Banks Differ in their Derivative Disclosure Practices? A Cross‐Country Empirical Study
E Scannella, S Polizzi
Journal of Corporate Accounting & Finance 30 (1), 14-35, 2019
112019
Corruption-Related Disclosure in the Banking Industry: Evidence From GIPSI Countries
P Andrés, S Polizzi, E Scannella, N Suárez
ECGI. European Corporate Governance Institute. Finance Working Paper N° 745/2021, 2021
72021
Market risk reporting in banking overcoming the limits of IAS/IFRS and Basel regulation
S Polizzi
International Journal of Financial Innovation in Banking 1 (3-4), 192-208, 2017
62017
Quality assurance and improvement program: some considerations for central banks
S Polizzi, F Lupo, S Testella
The TQM Journal 35 (8), 2203-2227, 2023
52023
Continuous auditing in public sector and central banks: a framework to tackle implementation challenges
S Polizzi, E Scannella
Journal of Financial Regulation and Compliance 31 (1), 40-59, 2023
52023
Risk Disclosure in the European Banking Industry: Qualitative and Quantitative Content Analysis Methodologies
S Polizzi
Springer Nature, 2022
52022
Credit risk disclosure practices in the annual financial reporting of large Italian banks
E Scannella, S Polizzi
Frontier Topics in Banking: Investigating New Trends and Recent Developments …, 2019
32019
Persistency of window dressing practices in the US repo markets after the GFC: The unexplored role of the deposit insurance premium
A Jaafar, S Polizzi, A Reghezza
European Financial Management 29 (2), 634-663, 2023
22023
A qualitative analysis of bank credit risk disclosure: Evidence from the Canadian and Italian banking sectors
K Lajili, S Mohsni, S Polizzi, E Scannella
Journal of Corporate Accounting & Finance, 2022
22022
Do banks practice what they preach? Brown lending and environmental disclosure in the euro area
L Gambacorta, S Polizzi, A Reghezza, E Scannella
Bank for International Settlements, 2023
12023
CSR disclosure in banking: A qualitative literature review
P de Andrés, S Polizzi, E Scannella, N Suárez
FINANCIAL REPORTING, 2023
12023
Indicatori Chiave Per L’IA: il Metodo Bankitalia
A Menicucci, F Lupo, M Massetti, JF Aleluia, S Polizzi
Internal Audit: Corporate Governance, Risk Management e Controllo Interno …, 2020
12020
A critical re-examination of the academic literature on venture capital networks
S Polizzi
International Journal of Financial Services Management 10 (2), 156-172, 2020
12020
ESG and asset quality in the banking industry: The moderating role of financial performance
M Cantero-Saiz, S Polizzi, E Scannella
Research in International Business and Finance 69, 102221, 2024
2024
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