Zobrazeno 1 - 10
of 102
pro vyhledávání: '"Giuseppe, Marinelli"'
Publikováno v:
Empirical Economics. 64:567-602
Learning from revisions: an algorithm to detect errors in banks’ balance sheet statistical reporting
Publikováno v:
Quality & Quantity. 56:4025-4059
Publikováno v:
SSRN Electronic Journal.
Publikováno v:
Acta Europeana Systemica. 5:11-18
The widespread of Information and Communication Technologies and the consequently redefinition of roles in the usage and management of the city brought along new systems of relationships and interactions that produce an auto-organisation of territori
Autor:
Antonio Loforte, Cinzia Marrozzini, Erika Dal Checco, Davide Pacini, Giuseppe Marinelli, Sofia Martin Suarez, Gregorio Gliozzi, Valeria Lo Coco, Massimo Baiocchi, Mariafrancesca Fiorentino, Mauro Biffi
Publikováno v:
ASAIO Journal. 66:e50-e54
Peripheral extracorporeal membrane oxygenation (ECMO) setting remains a valid option to treat cardiogenic shock (CS). We investigated a percutaneous approach to unload the left ventricle (LV) while on veno-arterial (v-a) peripheral ECMO support. Betw
Autor:
Danilo Liberati, Giuseppe Marinelli
Publikováno v:
SSRN Electronic Journal.
Publikováno v:
SSRN Electronic Journal.
Ensuring and disseminating high-quality data is crucial for central banks to adequately support monetary analysis and the related decision-making process. In this paper we develop a machine learning process for identifying errors in banks’ supervis
Autor:
Rolf André Bohne, Gaylord Kabongo Booto, Helge Brattebø, Hrefna Run Vignisdottir, Giuseppe Marinelli
Publikováno v:
Journal of Transportation Engineering, Part A: Systems. 146
Emissions reduction has emerged as one of the principal targets in the planning and designing of road alignment today, and intelligent design methods can help optimize road alignment as a r...
Publikováno v:
SSRN Electronic Journal.
The paper investigates how the characteristics of the distribution network and the affiliation to a banking group affect mutual funds performance exploiting a unique dataset with extremely detailed information on funds’ portfolios and bank-issuer r