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Giampaolo Gabbi

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First Name:Giampaolo
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Last Name:Gabbi
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RePEc Short-ID:pga343
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Homepage:http://digilander.iol.it/ggabbi
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Location: Milano, Italy
Homepage: http://www.sdabocconi.it/
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Handle: RePEc:edi:sdbocit (more details at EDIRC)
Location: Siena, Italy
Homepage: http://www.economia.unisi.it/
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Handle: RePEc:edi:fesieit (more details at EDIRC)
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  1. Franco Ruzzenenti & Andreas Joseph & Elisa Ticci & Pietro Vozzella & Giampaolo Gabbi, 2015. "Interactions between financial and environmental networks in OECD countries," Papers 1501.04992, arXiv.org, revised Apr 2015.
  2. Giampaolo Gabbi & Elisa Ticci & Pietro Vozzella, 2014. "Financialisation and Economic and Financial Crises: The Case of Italy," FESSUD studies fstudy23, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project.
  3. Vinko Zlati\'c & Giampaolo Gabbi & Hrvoje Abraham, 2014. "Reduction of systemic risk by means of Pigouvian taxation," Papers 1406.5817, arXiv.org.
  4. Giampaolo Gabbi & Alesia Kalbaska & Alessandro Vercelli, 2014. "Factors generating and transmitting the financial crisis: The role of incentives: securitization and contagion," Working papers wpaper56, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project.
  5. Pietro Vozzella & Giampaolo Gabbi & Massimo Matthias, 2014. "Financial Regulation in Italy," Working papers wpaper60, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project.
  6. Costanza Consolandi & Giampaolo Gabbi & Massimo Matthias & Pietro Vozzella, 2013. "The Italian Financial System," FESSUD studies fstudy12, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project.
  7. Gabbi, G. & Germano, G. & Hatzopoulos, V. & Iori, G. & Politi, M., 2012. "Market microstructure, bank's behaviour and interbank spreads," Working Papers 12/06, Department of Economics, City University London.
  8. Giampaolo Gabbi & Massimo Matthias & Marco De Lerma, 2006. "CART analysis of qualitative variables to improve credit rating processes," Computing in Economics and Finance 2006 179, Society for Computational Economics.
  9. Iori, G. & Masi, G. D. & Precup, O. V. & Gabbi, G. & Caldarelli, G., 2005. "A network analysis of the Italian oversight money market," Working Papers 05/05, Department of Economics, City University London.
  1. Gabbi, Giampaolo & Iori, Giulia & Jafarey, Saqib & Porter, James, 2015. "Financial regulations and bank credit to the real economy," Journal of Economic Dynamics and Control, Elsevier, vol. 50(C), pages 117-143.
  2. Giampaolo Gabbi & Andrea Sironi, 2014. "Breaking up the Bank: Alternative Proposals to Separate Banking Activities. A Critical Analysis," Rivista di Politica Economica, SIPI Spa, issue 2, pages 17-37, April-Jun.
  3. Giampaolo Gabbi & Raoul Pisani & Simona Cosma, 2014. "The impact of Solvency 2 on Insurance business: evolution or revolution?," BANCARIA, Bancaria Editrice, vol. 2, pages 61-73, February.
  4. Daniel Detzer & Jerome Creel & Fabien Labondance & Sandrine Levasseur & Mimoza Shabani & Jan Toporowski & Judith Tyson & Costanza Consolandi & Giampaolo Gabbi & Massimo Matthias & Pietro Vozzella & Ca, 2014. "Financial systems in financial crisis — An analysis of banking systems in the EU," Intereconomics: Review of European Economic Policy, Springer, vol. 49(2), pages 56-87, March.
  5. Simona Cosma & Giampaolo Gabbi & Raoul Pisani, 2014. "The impact of Solvency 2 on organization and It in the insurance industry," BANCARIA, Bancaria Editrice, vol. 5, pages 50-59, Mayl.
  6. Paola Musile Tanzi & Giampaolo Gabbi & Daniele Previati & Paola Schwizer, 2013. "Managing compliance risk after MiFID," Journal of Financial Regulation and Compliance, Emerald Group Publishing, vol. 21(1), pages 51-68, February.
  7. Giampaolo Gabbi & Pietro Vozzella, 2013. "Asset correlations and bank capital adequacy," The European Journal of Finance, Taylor & Francis Journals, vol. 19(1), pages 55-74, January.
  8. Giampaolo Gabbi, 2012. "Risk management and its stakeholders," BANCARIA, Bancaria Editrice, vol. 3, pages 16-23, March.
  9. Giampaolo Gabbi & Paola Musile Tanzi & Loris Nadotti, 2011. "Firm size and compliance costs asymmetries in the investment services," Journal of Financial Regulation and Compliance, Emerald Group Publishing, vol. 19(1), pages 58-74, February.
  10. Gabbi Giampaolo & Patarnello Arturo, 2010. "Banking reputation bridging risk management and strategic decisions," Banca Impresa Società, Società editrice il Mulino, issue 2, pages 335-358.
  11. Musile Tanzi, Paola & Gabbi, Giampaolo & Previati, Daniele & Schwizer, Paola, 2010. "Compliance Function in Banks, Investment and Insurance Companies after MiFID," Journal of Financial Transformation, Capco Institute, vol. 30, pages 49-56.
  12. Zanotti, Giovanna & Gabbi, Giampaolo & Geranio, Manuela, 2010. "Hedging with futures: Efficacy of GARCH correlation models to European electricity markets," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 20(2), pages 135-148, April.
  13. Iori, Giulia & De Masi, Giulia & Precup, Ovidiu Vasile & Gabbi, Giampaolo & Caldarelli, Guido, 2008. "A network analysis of the Italian overnight money market," Journal of Economic Dynamics and Control, Elsevier, vol. 32(1), pages 259-278, January.
  14. Riccardo Bramante & Giampaolo Gabbi, 2006. "Portfolio optimisation under changing risk via time-varying beta," Managerial Finance, Emerald Group Publishing, vol. 32(4), pages 337-346.
  15. Giampaolo Gabbi & Andrea Sironi, 2005. "Which factors affect corporate bonds pricing? Empirical evidence from eurobonds primary market spreads," The European Journal of Finance, Taylor & Francis Journals, vol. 11(1), pages 59-74.
  16. Giampaolo Gabbi, 2005. "Semi-correlations as a tool for geographical and sector asset allocation," The European Journal of Finance, Taylor & Francis Journals, vol. 11(3), pages 271-281.
  17. Gabbi Giampaolo, 2004. "Definizione, misurazione e gestione del rischio reputazionale degli intermediari bancari," Banca Impresa Società, Società editrice il Mulino, issue 1, pages 51-80.
5 papers by this author were announced in NEP, and specifically in the following field reports (number of papers):
  1. NEP-BAN: Banking (3) 2012-10-20 2014-11-01 2014-11-07. Author is listed
  2. NEP-EEC: European Economics (1) 2012-10-20
  3. NEP-FDG: Financial Development & Growth (1) 2015-06-27
  4. NEP-FMK: Financial Markets (1) 2012-10-20
  5. NEP-MAC: Macroeconomics (1) 2015-06-27
  6. NEP-PKE: Post Keynesian Economics (1) 2014-11-07
  7. NEP-PUB: Public Finance (1) 2014-06-28
  8. NEP-RMG: Risk Management (1) 2014-06-28

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