Suivre
Giovanni Pagliardi
Titre
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Année
Tail relation between return and volume in the US stock market: An analysis based on extreme value theory
F Longin, G Pagliardi
Economics Letters 145, 252-254, 2016
132016
Global political risk and international stock returns
V Gala, G Pagliardi, SA Zenios
Available at SSRN 3242300, 2020
10*2020
International stock market co-movements and politics-related risks
G Pagliardi, P Poncet
Available at SSRN 3351453, 2019
22019
Managing political risk in international portfolios
G Pagliardi, S Lotfi, E Paparoditis, SA Zenios
Available at SSRN 3891070, 2021
2021
Financial Markets, Political Variables and Extreme Events
G Pagliardi
PQDT-Global, 2017
2017
On the political risk of international portfolios
G Pagliardi, S Lotfi, E Paparoditis, SA Zenios
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