Concepedia
Statistics
Publications
15
Citations
824
H-Index
14
Active since
2005
Affiliations
Bank of Italy(Current)
European Central Bank
University of York
Mario Quagliariello is an author at Bank of Italy specializing in finance, business, and financial risk management.
Top concepts
FinanceBusinessFinancial SystemFinancial Risk ManagementManagementFinancial CrisisCapital StructureFinancial RegulationFintechEconomics
Publications per year
2005–2013
Banks’ riskiness over the business cycle: a panel analysis on Italian intermediaries
Mario Quagliariello · Applied Financial Economics · 2006 · 233 citations
Asymmetric effects of the business cycle on bank credit risk
Juri Marcucci, Mario Quagliariello · Journal of Banking & Finance · 2009 · 116 citations
Financial System, Financial Risk Management, Macroeconomics +5
Is bank portfolio riskiness procyclical?
Juri Marcucci, Mario Quagliariello · Journal of International Financial Markets Institutions and Money · 2006 · 103 citations
Financial Risk Management, Risk Management, Management +6
Banks' Riskiness Over the Business Cycle: A Panel Analysis on Italian Intermediaries
Mario Quagliariello · SSRN Electronic Journal · 2006 · 88 citations · Full text
Macroeconomic uncertainty and banks’ lending decisions: the case of Italy
Mario Quagliariello · Applied Economics · 2008 · 63 citations · Full text
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