Gufler, Ivan

Gufler, Ivan  

DIPARTIMENTO DI ECONOMIA E FINANZA  

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Risultati 1 - 10 di 10 (tempo di esecuzione: 0.012 secondi).
Titolo Data di pubblicazione Autore(i) File
Consumption smoothing, risk sharing and financial integration 2021 Donadelli, Michael; Gufler, Ivan
Do stress and overstatement in the news affect the stock market? Evidence from COVID-19 news in The Wall Street Journal 2024 Carlini, Federico Carlo Eugenio; Farina, V.; Gufler, Ivan; Previtali, Daniele
Economic and financial integration, capital controls, and risk sharing 2024 Donadelli, Michael; Gufler, Ivan
European green policy announcements and sectoral stock returns 2022 Borghesi, S.; Castellini, M.; Comincioli, N.; Donadelli, Michael; Gufler, Ivan; Vergalli, S.
Financial market integration: A complex and controversial journey 2024 Donadelli, Michael; Gufler, Ivan; Paradiso, A.
Global risks, the macroeconomy, and asset prices 2022 Costola, Michele; Donadelli, Michael; Gerotto, Luca; Gufler, Ivan
On the Impact of COVID-19-Related Uncertainty 2020 Gufler, Ivan; Donadelli, Michael; Castellini, Marta
The macro and asset pricing implications of rising Italian uncertainty: evidence from a novel news-based macroeconomic policy uncertainty index 2020 Donadelli, Michael; Gufler, Ivan; Pellizzari, Paolo
Using past epidemics to estimate the macroeconomic implications of COVID-19: A bad idea! 2021 Donadelli, Michael; Ferranna, L.; Gufler, Ivan; Paradiso, A.
Variability and strictness in COVID-19 government response: A macro-regional assessment 2022 Donadelli, Michael; Gufler, Ivan; Kizys, Renatas; Lucchetta, Marcella