Tronzano, Marco
63  Ergebnisse:
Personensuche X
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1

What Drives Asset Returns Comovements? Some Empirical Evide..:

Tronzano, Marco
Journal of Risk and Financial Management.  17 (2024)  4 - p. 167 , 2024
 
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2

Safe-Haven Currencies as Defensive Assets in Global Stocks ..:

Tronzano, Marco
Journal of Risk and Financial Management.  16 (2023)  5 - p. 273 , 2023
 
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3

Optimal Portfolio Allocation between Global Stock Indexes a..:

Tronzano, Marco
Journal of Risk and Financial Management.  15 (2022)  6 - p. 241 , 2022
 
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4

Financial Crises, Macroeconomic Variables, and Long-Run Ris..:

Tronzano, Marco
Journal of Risk and Financial Management.  14 (2021)  3 - p. 127 , 2021
 
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5

Global factors, international spillovers, and the term stru..:

Guerello, Chiara ; Tronzano, Marco
The North American Journal of Economics and Finance.  51 (2020)  - p. 101073 , 2020
 
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6

Safe-Haven Assets, Financial Crises, and Macroeconomic Vari..:

Tronzano, Marco
Journal of Risk and Financial Management.  13 (2020)  3 - p. 40 , 2020
 
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7

A Bayesian Markov-Switching Correlation Model for Contagion..:

Casarin, Roberto ; Sartore, Domenico ; Tronzano, Marco
Journal of Business & Economic Statistics.  36 (2018)  1 - p. 101-114 , 2018
 
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8

A Bayesian Markov-Switching Correlation Model for Contagion..:

Casarin, Roberto ; Sartore, Domenico ; Tronzano, Marco
Journal of Business & Economic Statistics.  36 (2017)  1 - p. 101-114 , 2017
 
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10

The Sustainability of Indian Fiscal Policy: A Reassessment ..:

Tronzano, Marco
Emerging Markets Finance and Trade.  49 (2013)  sup1 - p. 63-76 , 2013
 
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11

The Sustainability of Indian Fiscal Policy: A Reassessment ..:

Tronzano, Marco
Emerging Markets Finance & Trade.  49 (2013)  - p. 63-76 , 2013
 
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