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Elisa CAVEZZALI
Elisa CAVEZZALI
Verified email at unive.it
Title
Cited by
Cited by
Year
Does it pay to be sustainable? Looking inside the black box of the relationship between sustainability performance and financial performance
N Hussain, U Rigoni, E Cavezzali
Corporate Social Responsibility and Environmental Management 25 (6), 1198-1211, 2018
2692018
The effect of the enterprise risk management implementation on the firm value of European companies
GS Bertinetti, E Cavezzali, G Gardenal
Department of Management, Università Ca'Foscari Venezia Working Paper, 2013
1952013
Know your client! Investor profile and tailor‐made asset allocation recommendations
E Cavezzali, U Rigoni
Journal of Financial Research 35 (1), 137-158, 2012
212012
Risk governance and performance of the Italian banks: An empirical analysis
E Cavezzali, G Gardenal
Department of Management, Università Ca'Foscari Venezia Working Paper, 2015
142015
Risk taking, diversification behavior and financial literacy of individual investors
E Cavezzali, G Gardenal, U Rigoni
Università Ca'Foscari Department of Management Venezia Working Paper, 2012
122012
The Integrated reporting and the conference calls content
E Cavezzali, N Hussain, U Rigoni
Integrated reporting: A new accounting disclosure, 231-252, 2016
92016
The Content of Reports on Italian Stocks: Do Evaluation Methods Matter?
GS Bertinetti, E Cavezzali, U Rigoni
Available at SSRN 926043, 2006
72006
Risk taking behaviour and diversification strategies: Do financial literacy and financial education play a role?
E Cavezzali, G Gardenal, U Rigoni
Journal of Financial Management, Markets and Institutions 3 (1), 121-156, 2015
52015
Report degli analisti e impatto delle variazioni delle raccomandazioni e dei target price: evidenze sul mercato italiano
E Cavezzali, EM Cervellati, P Pattitoni, U Rigoni
RIVISTA BANCARIA. MINERVA BANCARIA 2, 51-67, 2011
52011
Financial analysts’ forecast accuracy: do valuation methods matter?
E Cavezzali, U Rigoni
Department of Management, Università Ca'Foscari Venezia Working Paper, 2013
42013
Investor profile and asset allocation advice
E Cavezzali, U Rigoni
42007
Basel liquidity regulation and credit risk market perception: evidence from large European banks
G Simion, U Rigoni, E Cavezzali, A Veller
Research in International Business and Finance, 102228, 2024
32024
Proximity to hubs of expertise and financial analyst forecast accuracy
E Cavezzali, J Crepaldi, U Rigoni
Eurasian Business Review 4, 157-179, 2014
32014
Alfabetizzazione finanziaria e «asset allocation» dei non esperti: uno studio sperimentale
E Cavezzali, G Gardenal, U Rigoni
Analisi Giuridica dell'Economia 11 (1), 107-134, 2012
32012
I report degli analisti finanziari: metodi di valutazione e raccomandazioni d'investimento
GS Bertinetti, U Rigoni, E Cavezzali
Banca, Sistemi e Modelli. Saggi in onore di Tancredi Bianchi-Volume 3 3, 87-112, 2009
32009
Market discipline on bank bond issues through the lens of a new forward‐looking measure of loan quality
G Simion, E Cavezzali, S Nathan, U Rigoni
European Financial Management 26 (5), 1350-1384, 2020
22020
The information content of financial analysts’ reports
E Cavezzali
22007
Gli Studi Prodotti dagli Analisti Finanziari sulle Società Quotate sul Mercato Italiano. Un'analisi empirica del contenuto.
E Cavezzali
22007
Risk Governance E Performance Delle Banche Italiane: Un’Analisi Empirica (Risk Governance and Performance of the Italian Banks: An Empirical Analysis)
E Cavezzali, G Gardenal
Bancaria, 2016
12016
The impact of liquidity regulation announcements on the CDS market of large European banks
G Simion, U Rigoni, E Cavezzali, A Veller
We are proud to present the Book of Abstracts of the contributions accepted …, 2016
12016
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