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 | 1579 | 2007 |
The link between default and recovery rates: Theory, empirical evidence, and implications EI Altman, B Brady, A Resti, A Sironi The Journal of Business 78 (6), 2203-2228, 2005 | 1102 | 2005 |
Testing for market discipline in the European banking industry: evidence from subordinated debt issues A Sironi Journal of Money, Credit and Banking, 443-472, 2003 | 567 | 2003 |
Risk management and shareholders' value in banking: from risk measurement models to capital allocation policies A Resti, A Sironi (No Title), 2007 | 410* | 2007 |
Default recovery rates in credit risk modelling: a review of the literature and empirical evidence E Altman, A Resti, A Sironi Economic Notes 33 (2), 183-208, 2004 | 403 | 2004 |
The impact of government ownership on bank risk G Iannotta, G Nocera, A Sironi Journal of Financial intermediation 22 (2), 152-176, 2013 | 392 | 2013 |
Analyzing and explaining default recovery rates EI Altman, A Resti, A Sironi A report submitted to the International Swaps & Derivatives Association, 2001 | 228 | 2001 |
Rischio e valore nelle banche: misura, regolamentazione, gestione A Resti, A Sironi Egea, 2008 | 180* | 2008 |
The link between default and recovery rates: effects on the procyclicality of regulatory capital ratios EI Altman, A Resti, A Sironi BIS Working paper, 2002 | 172 | 2002 |
Which factors affect corporate bonds pricing? Empirical evidence from eurobonds primary market spreads G Gabbi, A Sironi The European Journal of Finance 11 (1), 59-74, 2005 | 170 | 2005 |
An analysis of European banks' SND issues and its implications for the design of a mandatory subordinated debt policy A Sironi Journal of Financial Services Research 20 (2), 233-266, 2001 | 113 | 2001 |
The link between default and recovery rates: implications for credit risk models and procyclicality EI Altman, B Brady, A Resti, A Sironi NYU Working Paper, 2002 | 106 | 2002 |
Recovery Risk-The next Challenge in Credit Risk Management EI Altman, AC Resti, A Sironi Risk Books, 2005 | 91 | 2005 |
The Basel Committee proposals for a new capital accord: implications for Italian banks A Sironi, C Zazzara Review of financial economics 12 (1), 99-126, 2003 | 67 | 2003 |
Strengthening banks' market discipline and leveling the playing field: Are the two compatible? A Sironi Journal of banking & finance 26 (5), 1065-1091, 2002 | 60 | 2002 |
The evolution of banking regulation since the financial crisis: A critical assessment A Sironi BAFFI CAREFIN Centre Research Paper, 2018 | 56 | 2018 |
La misurazione e la gestione del rischio di credito: modelli, strumenti e politiche A Sironi Bancaria, 1998 | 40 | 1998 |
Default recovery rates: A review of the literature and recent empirical evidence EI Altman, A Resti, A Sironi Journal of Finance Literature 12 (1), 21-45, 2006 | 34 | 2006 |
Gestione del rischio e allocazione del capitale nelle banche A Sironi Egea, 1996 | 34 | 1996 |
Applying credit risk models to deposit insurance pricing: Empirical evidence from the Italian banking system A Sironi, C Zazzara Journal of International Banking Regulations 6 (1), 10-32, 2004 | 33 | 2004 |