Gian Luca Tassinari - Böcker
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2 produkter
2 produkter
Climate Strategies and Sustainability Pathways of Italian Small and Medium-Sized Enterprises
Inbunden, Engelska, 2026
320 kr
Kommande
This open access book provides a comprehensive analysis of the resilience of small and medium-sized enterprises (SMEs) to climate change, drawing on a unique and extensive empirical investigation involving more than 10,000 Italian firms. It examines corporate perceptions of climate-related risks, the adaptation and mitigation strategies they adopt, their governance mechanisms and organizational characteristics.The book offers an overview of key concepts in corporate sustainability, with particular emphasis on the evolving regulatory and policy framework of the European Union (EU). It reviews the extensive academic literature on business climate strategies and on corporate governance mechanisms oriented toward sustainability, and introduces an original classification of corporate responses in terms of investment strategies, capturing firms’ levels of preparedness for climate change. In doing so, the book adopts a double materiality perspective, focusing both on the inside-out impacts of corporate strategies and the outside-in financial implications, with particular attention to green finance. A dedicated deep dive explores the agrifood sector in Southern Italy, which is especially exposed to physical climate risks.The book concludes with actionable recommendations and guidelines for stakeholders to strengthen SMEs’ climate resilience and enhance their contribution to the sustainable transition. By linking climate-risk perception, organizational drivers, and strategic climate responses and outcomes, the research provides an integrated perspective that enriches academic discourse and informs managerial and policy decision-making.This research is part of the “Growing Resilient, Inclusive and Sustainable (GRINS)” project, funded under the Next Generation EU National Recovery and Resilience Plan (NRRP).Data were collected in 2024, and the writing of the book was completed in September 2025.
Del 7 - World Scientific Handbook in Financial Economics Series
Handbook Of Heavy-tailed Distributions In Asset Management And Risk Management
Inbunden, Engelska, 2019
2 501 kr
Skickas inom 3-6 vardagar
The study of heavy-tailed distributions allows researchers to represent phenomena that occasionally exhibit very large deviations from the mean. The dynamics underlying these phenomena is an interesting theoretical subject, but the study of their statistical properties is in itself a very useful endeavor from the point of view of managing assets and controlling risk. In this book, the authors are primarily concerned with the statistical properties of heavy-tailed distributions and with the processes that exhibit jumps. A detailed overview with a Matlab implementation of heavy-tailed models applied in asset management and risk managements is presented. The book is not intended as a theoretical treatise on probability or statistics, but as a tool to understand the main concepts regarding heavy-tailed random variables and processes as applied to real-world applications in finance. Accordingly, the authors review approaches and methodologies whose realization will be useful for developing new methods for forecasting of financial variables where extreme events are not treated as anomalies, but as intrinsic parts of the economic process.