COCOZZA, ROSA
 Distribuzione geografica
Continente #
EU - Europa 8.518
AS - Asia 7.198
NA - Nord America 5.703
SA - Sud America 933
AF - Africa 118
Continente sconosciuto - Info sul continente non disponibili 17
OC - Oceania 6
Totale 22.493
Nazione #
US - Stati Uniti d'America 5.469
IT - Italia 4.488
SG - Singapore 4.252
RU - Federazione Russa 2.226
CN - Cina 1.285
BR - Brasile 780
HK - Hong Kong 617
VN - Vietnam 581
UA - Ucraina 337
DE - Germania 268
FI - Finlandia 256
GB - Regno Unito 183
IE - Irlanda 149
SE - Svezia 131
CA - Canada 129
FR - Francia 94
NL - Olanda 91
IN - India 89
KR - Corea 73
MX - Messico 70
PL - Polonia 69
AR - Argentina 50
BD - Bangladesh 48
TR - Turchia 38
ZA - Sudafrica 33
ES - Italia 30
EC - Ecuador 29
IQ - Iraq 29
ID - Indonesia 28
JP - Giappone 26
CO - Colombia 24
PK - Pakistan 21
CI - Costa d'Avorio 18
CZ - Repubblica Ceca 18
PT - Portogallo 18
BE - Belgio 17
SI - Slovenia 16
CH - Svizzera 15
LT - Lituania 14
PE - Perù 13
MA - Marocco 12
RO - Romania 12
UZ - Uzbekistan 12
VE - Venezuela 12
EU - Europa 11
KZ - Kazakistan 11
AT - Austria 10
KE - Kenya 10
NP - Nepal 10
AE - Emirati Arabi Uniti 9
EG - Egitto 9
HU - Ungheria 9
RS - Serbia 9
PY - Paraguay 8
SA - Arabia Saudita 8
AL - Albania 7
BG - Bulgaria 7
CL - Cile 7
DK - Danimarca 7
HN - Honduras 7
TW - Taiwan 7
IR - Iran 6
JO - Giordania 6
LB - Libano 6
PH - Filippine 6
BO - Bolivia 5
IL - Israele 5
JM - Giamaica 5
LU - Lussemburgo 5
BY - Bielorussia 4
GR - Grecia 4
KH - Cambogia 4
MT - Malta 4
TN - Tunisia 4
XK - ???statistics.table.value.countryCode.XK??? 4
AZ - Azerbaigian 3
BF - Burkina Faso 3
CR - Costa Rica 3
DO - Repubblica Dominicana 3
DZ - Algeria 3
HR - Croazia 3
MD - Moldavia 3
NO - Norvegia 3
PS - Palestinian Territory 3
SK - Slovacchia (Repubblica Slovacca) 3
UY - Uruguay 3
AF - Afghanistan, Repubblica islamica di 2
AU - Australia 2
BB - Barbados 2
BS - Bahamas 2
CG - Congo 2
CU - Cuba 2
CY - Cipro 2
EE - Estonia 2
GH - Ghana 2
GT - Guatemala 2
MK - Macedonia 2
ML - Mali 2
MN - Mongolia 2
NE - Niger 2
Totale 22.445
Città #
Singapore 1.833
Hong Kong 604
Moscow 604
Naples 601
Chandler 567
Santa Clara 524
Hefei 433
Milan 383
Rome 337
Jacksonville 308
Ashburn 294
Dong Ket 274
Millbury 271
Princeton 229
Beijing 201
Nanjing 167
Los Angeles 152
Castellammare Di Stabia 143
Buffalo 125
The Dalles 125
Boston 119
Napoli 106
Ho Chi Minh City 105
Wilmington 104
San Jose 96
Woodbridge 94
Ottawa 91
Des Moines 86
Redondo Beach 80
Seoul 68
New York 66
São Paulo 61
Hanoi 60
Caserta 49
Nanchang 49
Seattle 49
Portici 46
Genoa 45
Mexico City 45
Ann Arbor 44
Helsinki 44
Kronberg 43
Norwalk 40
Bologna 39
Bari 38
Lawrence 34
London 34
Munich 33
Dallas 32
Rio de Janeiro 31
Warsaw 31
Casoria 30
Dublin 30
Hebei 29
Jiaxing 29
Shenyang 29
Changsha 28
Tianjin 28
Brooklyn 27
Cagliari 25
Houston 25
Council Bluffs 24
Frankfurt Am Main 24
Stockholm 23
Florence 22
Orem 21
Belo Horizonte 20
Mumbai 20
Pune 20
Atlanta 19
Redwood City 19
Tokyo 19
Curitiba 18
Gorgonzola 18
Johannesburg 18
Montreal 18
Orange 18
Turku 18
Dearborn 17
Pagani 17
San Giuseppe Vesuviano 17
Falls Church 16
Santo André 15
Aversa 13
Boardman 13
Paris 13
Prague 13
San Francisco 13
Verona 13
Amsterdam 12
Campinas 12
Chicago 12
Da Nang 12
Frankfurt am Main 12
Kunming 12
Phoenix 12
Poplar 12
Quito 12
Salvador 12
Santa Maria Capua Vetere 12
Totale 10.948
Nome #
Label AIFIRM per il Corso di Gestione e Controllo dei rischi dell'intermediazione finanziaria 937
Rischio di tasso del banking book (IRRBB): evoluzioni normative in atto ed implicazioni gestionali 441
NON-MATURITY DEPOSITS AND BANKS’ EXPOSURE TO THE INTEREST RATE RISK: ISSUES ARISING FROM THE BASEL REGULATORY FRAMEWORK 397
Bloomberg: la piattaforma di negoziazione e di informazione 222
Non-maturity deposits and banks’ exposure to the interest rate risk: issues arising from the Basel regulatory framework 221
Commento all'Introduzione e alla ricerca "Redditività ed efficienza delle piccole e medie banche" 166
NMDs and IRRBB: A Methodological Proposal for a Behavioural Model 155
L'Attuario, chi è costui? Conversazione su una professione ricca di opportunità 153
Il fondo pensione delle Università Federico II e Luigi Vanvitelli 151
Associazione Italiana Financial Industry Risk Managers (AIFIRM) 141
Interest rates, profitability and risk: Evidence from local Italian banks over the years 2006-2018 133
Does Prudential Regulation Contribute to Effective Measurement and Management of Interest Rate Risk? Evidence from Italian Banks 132
Proceedings of the 14th Applied Stochastic Models and Data Analysis Conference ASMDA 2011 123
Risk-adjusted Performance Indicators in Life Insurance 120
A financial analysis of surplus dynamic for deferred life schemes 119
A dynamic solvency approach for life insurance 117
Elementi di coding e presentazione delle funzionalità di base di Matlab quale software professionalizzante 117
Methodological problems in solvency assessment of an insurance company 115
An Analysis of the Variability of Interest Margin for Italian Commercial Banks over the Period 1983-1992 113
Methodological problems in solvency assessment of an insurance company 112
Valutazione del rischio e determinazione del rating: il caso delle Reti di Imprese 112
A liability adequacy test for the mathematical provision: critical issues 111
A liability adequacy test for mathematical provision 110
The value at risk of the mathematical provision: Critical issues 109
Decision Making in Structured Finance: a case in Risk-Adjusted Performance Computation. 105
Participating Policies: risk and value drivers in a financial management perspective 105
The VaR of the mathematical provision: critical issues 104
A financial analysis of surplus dynamic for deferred life schemes 104
Label AIFIRM per il Corso di Gestione e Controllo dei rischi dell'intermediazione finanziaria 104
Life insurance risk indicators: a balance-sheet approach 103
Private Equity e Venture Capital 102
Risk profiles of life insurance business: quantitative analysis in a managerial perspective 101
A financial analysis of surplus dynamics for deferred life schemes 101
Risk and Value: two sides of the same coin. 101
Fintech, chi è costui? 101
Partecipazione su invito a 2017 Fund Management Challege CFA 100
Economia delle imprese assicurative 99
Il ruolo dei comitati endoconsiliari 97
How Do Regulation and Financial Markets Conditions Affect Interest Rate Risk Exposure: Evidence from Italian Commercial Banks 96
Are interest rates relevant to stock prices? On stage the performance of financial insitutions 96
Risk-adjusted performance indicators in life insurance 95
An Insight into Banks' Pricing: The Case of Covered Warrant 95
Measuring banks’ interest rate risk: issues arising from regulatory and internal methodologies 95
Financial intermediaries’ asset-liability dependency and low-interest-rate environment: evidence from EU life insurers 95
I servizi di investimento e il profilo di rischio della clientela: questionari di valutazione e aspetti tecnici di gestione 95
Risk profiles of life insurance business: quantitative analysis in a managerial perspective 94
A financial analysis of surplus dynamic for deferred life schemes 94
Back to the Future: Prospective Bank Risk Management in a Financial Analysis Perspective 93
Interest rate movements in the life insurance fair value context 93
Life insurance risk indicators: a balance-sheet approach 93
Riak-Adjusted Performance Indicators in Life Insurance 93
Solvency of life insurance company: methodological issue 92
A liability adequacy test for matehematical provision 92
Profit-analysis via risk-adjusted performance indicators in life insurance 92
Unveiling the dark side of sustainability: Are banks’ ESG misrepresentations truly worthwhile?∗ 91
Partecipazione su invito al 2015 Fund Mangement Challenge 91
Managing structured bonds: An analysis using RAROC and EVA 91
Richiami di matematica delle assicurazioni 91
Do global markets imply common fear? 91
Biodiversità bancaria e criterio di proporzionalità alla prova della riforma del credito cooperativo: prime riflessioni 90
A liability adequacy test for mathematical provision 90
Gli effetti delle oscillazioni dei tassi di interesse sulle aziende di credito: aspetti teorici e verifica empirica 90
Solvency of life insurance companies: methodological issues 89
On the financial risk factor in fair valuation of the mathematical provision 89
A dynamic solvency approach for life insurance 89
On the financial risk factor in fair valuation of the mathematical provision 89
Asset-Liability Dependency: Evidence from a Sample of European Commercial Banks 89
Le linee guida della BCE sui crediti deteriorati: una lettura tecnica. 88
New rules to measure interest rate risk and a prolonged scenario of low market rates: evidence from Italian banks 88
Risk profiles of life insurance business: a combined approach 86
A financial analysis of surplus dynamic for deferred life schemes 86
The Pricing of Equity-Linked contingent claims under a lognormal short rate dynamics 86
Mercati finanziari globali e strategie di portafoglio 86
Life insurers’ asset-liability dependency and low-interest rate environment 86
Governance e Risk Culture 85
A liability adequacy test for mathematical provision 85
A Two-Factor Binomial Model for Pricing Hybrid Securities: A Simplified Approach 85
A liability adequacy test for mathematical provision 84
FATTORI CRITICI DI SUCCESSO DEL RISK MANAGEMENT: QUALCHE ISTRUZIONE PER L’USO 83
L'investimento nel capitale di rischio. Private Equity & Venture Capital 83
Methodological problems in Solvency Assessment of an Insurance Company 83
Comitato Scientifico Convegno La declinazione del principio di proporzionalità in ambito bancario: problemi e prospettive 83
On the financial risk factor in fair valuation of the mathematical provision 83
La professione dell'attuario tra tradizione e innovazione 83
La gestione del rischio di tasso di interesse nelle compagnie di assicurazione sulla vita 81
The current value of the mathematical provision: a financial risk prospect 81
Embedded option in pension funds: the case of conditional indexation policy 81
FINANCIAL INTERMEDIARIES' ASSET–LIABILITY DEPENDENCY AND LOW-INTEREST-RATE ENVIRONMENT: EVIDENCE FROM EU LIFE INSURERS 81
The VaR of the mathematical provision: critical issues 80
L'ICAAp e lo SREP alla luce delle nuove istruzioni di vigilanza 80
What Matters most in the Measuring Banks’Exposure to the Interest Rate Risk in the BankingBook? 80
La valutazione finanziaria nel campo immobiliare 79
la commercializzazione del ricercatore moderno 79
IL RISK APPETITE FRAMEWORK TRA STRATEGIA E REPORTING 79
Risk Profiles of Life Insurance Business: a Combined Approach 78
The VaR of the mathematical provision: Critical issues 78
Conditional Indexation for Pension Funds: Valuation Issue 78
Fondi sovrani e risk management 78
Risk profiles of life insurance business: quantitative analysis in a managerial perspective 77
Methodological problems in solvency assessment of an insurance company 77
Totale 11.437
Categoria #
all - tutte 65.343
article - articoli 0
book - libri 0
conference - conferenze 0
curatela - curatele 0
other - altro 0
patent - brevetti 0
selected - selezionate 0
volume - volumi 0
Totale 65.343


Totale Lug Ago Sett Ott Nov Dic Gen Feb Mar Apr Mag Giu
2020/2021845 0 0 0 0 0 0 99 128 170 50 94 304
2021/20221.344 44 14 44 42 36 43 54 81 179 47 150 610
2022/20231.657 308 118 100 150 135 143 79 177 222 79 94 52
2023/20241.622 59 121 108 109 97 341 83 152 49 89 295 119
2024/20256.598 474 578 121 90 197 473 462 385 826 591 1.791 610
2025/20266.877 1.344 1.050 1.046 928 1.849 525 135 0 0 0 0 0
Totale 22.857