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Definizione, misurazione e gestione del rischio reputazionale degli intermediari bancari

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  • Giampaolo Gabbi

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  • Giampaolo Gabbi, 2004. "Definizione, misurazione e gestione del rischio reputazionale degli intermediari bancari," Banca Impresa Società, Società editrice il Mulino, issue 1, pages 51-80.
  • Handle: RePEc:mul:jqmthn:doi:10.1435/13274:y:2004:i:1:p:51-80
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    Cited by:

    1. Domenica Lavorato & Rita Lamboglia & Daniela Mancini, 2021. "La relazione tra rischio reputazionale e controllo-guida: possibili linee di ricerca," MANAGEMENT CONTROL, FrancoAngeli Editore, vol. 2021(suppl. 2), pages 39-64.
    2. Enrica Sepe & Margherita Smarra & Marco Sorrentino, 2015. "Does Ethic Rating Decrease Firms’ Cost of Capital? Empirical Insights from the Italian Setting," International Journal of Academic Research in Accounting, Finance and Management Sciences, Human Resource Management Academic Research Society, International Journal of Academic Research in Accounting, Finance and Management Sciences, vol. 5(4), pages 54-68, October.
    3. Mihaela Sandu, 2012. "Some Importants Definitions And Mesurement Methods Ofcorporate Reputation," Annals - Economy Series, Constantin Brancusi University, Faculty of Economics, vol. 4, pages 209-212, December.
    4. Rita Lamboglia & Giuseppe D'Onza, 2013. "Un modello di gestione del rischio reputazionale. Dall?identificazione al fronteggiamento," MANAGEMENT CONTROL, FrancoAngeli Editore, vol. 2013(3), pages 7-34.

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