Anna Grazia Quaranta
Anna Grazia Quaranta
Assistant Professor, Dipartimento di Economia e Diritto, Università di Macerata (italy)
Verified email at unimc.it
Title
Cited by
Cited by
Year
Robust optimization of conditional value at risk and portfolio selection
AG Quaranta, A Zaffaroni
Journal of Banking & Finance 32 (10), 2046-2056, 2008
1852008
A multidimensional approach to measuring bank branch efficiency
AG Quaranta, A Raffoni, F Visani
European Journal of Operational Research 266 (2), 746-760, 2018
362018
Assessing factors that influence waste management financial sustainability
F Bartolacci, A Paolini, AG Quaranta, M Soverchia
Waste management 79, 571-579, 2018
352018
The relationship between good environmental practices and financial performance: Evidence from Italian waste management companies
F Bartolacci, A Paolini, AG Quaranta, M Soverchia
Sustainable Production and Consumption 14, 129-135, 2018
172018
Sustainability and efficiency of the European banking market after the global crisis: The impact of some strategic choices
F Pampurini, AG Quaranta
Sustainability 10 (7), 2237, 2018
162018
Public REITs' governance and regulatory structure: effects on NAV discount: Evidence from the Italian market
M Biasin, E Giacomini, AG Quaranta
Journal of European Real Estate Research, 2010
152010
Autoregression and artificial neural networks for rinancial market forecast
R De Leone, E Marchitto, AG Quaranta
Neural Network World 16 (2), 109, 2006
152006
Innovation, imitation and policy inaction
R Cerqueti, AG Quaranta, M Ventura
Technological Forecasting and Social Change 111, 22-30, 2016
92016
Illegal finance and usurers behaviour
R Barone, R Cerqueti, AG Quaranta
European journal of law and economics 34 (2), 265-277, 2012
92012
Effects of regulatory and market constraints on the capital structure and share value of REITs: Evidence from the Italian market
M Biasin, AG Quaranta
International Real Estate Review 13 (3), 282-322, 2010
82010
Measuring poverty: a study case in an Italian industrial city
N Pannuzi, AG Quaranta
Income Distribution, Social Welfare, Inequality and Poverty 6, 323-336, 1995
81995
The perspective of a bank in granting credits: an optimization model
R Cerqueti, AG Quaranta
Optimization Letters 6 (5), 867-882, 2012
62012
Quotazione a sconto, governance e regolamentazione dei fondi immobiliari italiani
M Biasin, E Giacomini, AG Quaranta
Bancaria Editrice 1, 31-45, 2010
62010
Macro asset allocation with social impact investments
M Biasin, R Cerqueti, E Giacomini, N Marinelli, AG Quaranta, L Riccetti
Sustainability 11 (11), 3140, 2019
52019
Country reputation, brand reputation and company reputation: Their importance in business-to-business industries
E Cedrola, L Battaglia, AG Quaranta
Rediscovering the Essentiality of Marketing, 475-490, 2016
42016
Banking Competition, Switching Costs and Customer Vulnerability: The Case of South Italy
R Barone, A Quaranta
The ICFAI Journal of Behavioral Finance 5 (1), 6-27, 2008
42008
Impairment of intangible assets and disclosure by Italian banks
AG Quaranta, N Di Gabriele, E Zigiotti
Managerial Finance, 2019
32019
Fondi immobiliari e commissioni di gestione exGAV o NAV. Effetti sulla performance
M Biasin, AG Quaranta
Banca Impresa Società 31 (2), 159-190, 2012
32012
Evaluating the risk of insolvency
M Marconi, AG Quaranta, S Tartufoli
Open J. Econ. Res 1 (3), 15-32, 2012
32012
Teoria e prassi di Sergiu Celibidache
A Quaranta
alma, 2007
32007
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