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Matteo Cotugno
Matteo Cotugno
Associate Professor of Banking and Finance, Catholic University of the Sacred Heart
Email verificata su unicatt.it - Home page
Titolo
Citata da
Citata da
Anno
Relationship lending, hierarchical distance and credit tightening: Evidence from the financial crisis
M Cotugno, S Monferrà, G Sampagnaro
Journal of Banking & Finance 37 (5), 1372-1385, 2013
1722013
The spillover effect of enforcement actions on bank risk-taking
S Caiazza, M Cotugno, F Fiordelisi, V Stefanelli
Journal of Banking & Finance 91, 146-159, 2018
562018
Credit spreads in the European green bond market: A daily analysis of the COVID‐19 pandemic impact
AF Cicchiello, M Cotugno, S Monferrà, S Perdichizzi
Journal of International Financial Management & Accounting 33 (3), 383-411, 2022
472022
Bank intermediation models and portfolio default rates: what’s the relation?
M Cotugno, V Stefanelli, G Torluccio
23rd Australasian finance and banking conference, 2010
332010
Which are the factors influencing green bonds issuance? Evidence from the European bonds market
AF Cicchiello, M Cotugno, S Monferrà, S Perdichizzi
Finance Research Letters 50, 103190, 2022
312022
Geographical and product diversification during instability financial period: Good or bad for banks?
M Cotugno, V Stefanelli
Available at SSRN 1989919, 2012
292012
An empirical analysis on board monitoring role and loan portfolio quality measurement in banks
V Stefanelli, M Cotugno
Academy of Banking Studies Journal 11, 2012
282012
Relationship lending, default rate and loan portfolio quality
M Cotugno, V Stefanelli, G Torluccio
Applied financial economics 23 (7), 573-587, 2013
222013
Il rapporto banca-impresa in Italia
S Monferrà, E Belli, A Caruso, S Cenni, M Cotugno, F Giordano, G Gobbi, ...
Bancaria Editrice, 2007
122007
Do capital buffers matter? Evidence from the stocks and flows of nonperforming loans
AF Cicchiello, M Cotugno, S Perdichizzi, G Torluccio
International Review of Financial Analysis 84, 102369, 2022
102022
Bank stability and enforcement actions in banking
S Caiazza, M Cotugno, F Fiordelisi, V Stefanelli
Available at SSRN 2505873, 2014
102014
Bank size, functional distance and loss given default rate of bank loans
M Cotugno, V Stefanelli
International Journal of Financial Research 2 (1), 2011
102011
La misurazione dell'efficienza economica: una applicazione al settore bancario italiano
AM Cardani, C Matteo, MD Galeotti
Ricerche Economiche 45, 57-77, 1991
91991
Weather Derivatives Market and The Italian Case
G Piovani, G Torluccio, M Cotugno
European Journal of Social Sciences 30 (3), 352-365, 2012
82012
How is bank performance affected by functional distance?
G Torluccio, M Cotugno, S Strizzi
European Journal of Economics, Finance and Administrative Sciences, 79, 2011
82011
Do supervisory enforcement actions affect board composition?
M Cotugno, A D'Amato, A Gallo, V Stefanelli
Corporate Governance: An International Review, 2020
72020
Credito non performing e forborne exposure: nuove regole e implicazioni gestionali
M Cotugno
BANCARIA 2016 (6), 78-86, 2016
72016
Does competition affect ESG controversies? Evidence from the banking industry
AF Cicchiello, M Cotugno, C Foroni
Finance Research Letters 55, 103972, 2023
62023
Management customer complaints and performance: banks, be careful!
M Cotugno, V Stefanelli
Journal of Management and Governance 27 (1), 371-412, 2023
62023
Il costo del capitale
GM CHIESI
Analisi finanziaria, 247-281, 2018
62018
Il sistema al momento non può eseguire l'operazione. Riprova più tardi.
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