Risk Disclosure in the European Banking Industry: Qualitative and Quantitative Content Analysis Methodologies


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Description


Author: Salvatore Polizzi
Publisher: Springer
Published: 02/04/2023
Pages: 141
Binding Type: Paperback
Weight: 0.50lbs
Size: 9.21h x 6.14w x 0.33d
ISBN13: 9783030939694
ISBN10: 3030939693
BISAC Categories:
- Business & Economics | Industries | Financial Services
- Business & Economics | Economics | Macroeconomics
- Business & Economics | Finance | General

About the Author
​Salvatore Polizzi holds a PhD in Economics and Statistics, Department of Economics, Business and Statistics, University of Palermo, Italy. His research interests include banking, risk management, bank narrative reporting, and disclosure. During his academic career, he worked for the European Central Bank and Banca d'Italia. He held a Visiting Researcher position at the Bangor Business School, Bangor University, UK. He is a Member of the European Association of University Teachers in Banking and Finance (Wolpertinger club) and of the Italian Association of University Teachers in Banking and Finance (ADEIMF). His publications appear in reputable academic journals in the field of banking and finance, including the Journal of International Money & Finance and the Review of Quantitative Finance & Accounting.