Rocco Ciciretti

Fonte dei dati: Archivio della Ricerca
  1. Becchetti, L., Ciciretti, R., & Dalò, A. (2018). Fishing the Corporate Social Responsibility Risk Factors. JOURNAL OF FINANCIAL STABILITY, 37, 25-48. Dettagli
  2. Becchetti, L., Ciciretti, R., & Paolantonio, A. (2016). The cooperative bank difference before and after the global financial crisis. JOURNAL OF INTERNATIONAL MONEY AND FINANCE. Dettagli
  3. Brunetti, M., Ciciretti, R., & Djordjevic, L. (2016). The determinants of household's bank switching. JOURNAL OF FINANCIAL STABILITY, 26, 175-189. Dettagli
  4. Becchetti, L., Ciciretti, R., & Hasan, I. (2015). Corporate social responsibility, stakeholder risk, and idiosyncratic volatility. JOURNAL OF CORPORATE FINANCE, 35, 297-309. Dettagli
  5. Becchetti, L., Ciciretti, R., Dalo, A., & Herzel, S. (2015). Socially responsible and conventional investment funds: performance comparison and the global financial crisis. APPLIED ECONOMICS, 47(25), 2541-2562. Dettagli
  6. Ciciretti, R., Hasan, I., & Waismsan, M. (2015). Distribution strategy and movie performance: an empirical note. EURASIAN ECONOMIC REVIEW, 5, 179-187. Dettagli
  7. Ciciretti, R., Kobeissi, N., & Zhu, Y. (2014). Corporate social responsibility and financial performance: An analysis of bank community responsibility. INTERNATIONAL JOURNAL OF BANKING, ACCOUNTING AND FINANCE, 5(4), 342-373. Dettagli
  8. Becchetti, L., Ciciretti, R., & Giovannelli, A. (2013). Corporate social responsibility and earnings forecasting unbiasedness. JOURNAL OF BANKING & FINANCE, 37(9), 3654-3668. Dettagli
  9. Becchetti, L., Ciciretti, R., Hasan, I., & Kobeissi, N. (2012). Corporate social responsibility and shareholder's value. JOURNAL OF BUSINESS RESEARCH, 65(11), 1628-1635. Dettagli
  10. Becchetti, L., & Ciciretti, R. (2009). Corporate social responsibility and stock market performance. APPLIED FINANCIAL ECONOMICS, 19(16), 1283-1293. Dettagli
  11. Ciciretti, R., Hasan, I., & Zazzara, C. (2009). Do internet activities add value? Evidence from the traditional banks. JOURNAL OF FINANCIAL SERVICES RESEARCH, 35(1), 81-98. Dettagli
  12. Bagella, M., Ciciretti, R., & Paesani, P. (2008). Monetary policy and stock market risk perception in the US. In E.J. Fuchs, & F. Braun (a cura di), Emerging topics in banking and finance (pp. 187-200). Nova Science Publishers. Dettagli
  13. Bagella, M., Becchetti, L., & Ciciretti, R. (2007). Earning forecast error in US and European stock markets. EUROPEAN JOURNAL OF FINANCE, 13(2), 105-122. Dettagli
  14. Bagella, M., Becchetti, L., & Ciciretti, R. (2007). Market VS Analysts’ Reaction: the Effect of Aggregate and Firm Specific News. APPLIED FINANCIAL ECONOMICS, 17(4), 299-312. Dettagli
  15. Ciciretti, R. (2005). Asymmetric information in finance: four empirical essays. Dettagli