Open Review of Management, Banking and Finance

«They say things are happening at the border, but nobody knows which border» (Mark Strand)

THE EU BUDGET POWERING THE RECOVERY PLAN FOR EUROPE

by Antonio Felice Uricchio and Filippo Luigi Giambrone [1] ABSTRACT: The European Stability Mechanism (ESM) took the decisive step towards granting loans to states that are in danger of losing … Continue reading

06/06/2020

Innovations in asset management under a regulatory perspective: which rules can support the success of fintech?

by Valerio Lemma Abstract: This analysis focuses on the application of fintech to collective portfolio management, as a result of a regulatory intervention that arise from the directions of EU … Continue reading

16/03/2020

THE NEW EUROZONE RISK MORPHOLOGY

by Marcello Minenna ABSTRACT: Ten years into the global financial crisis, the euro area is struggling to get back on a path of stability and growth. Apart from international factors, … Continue reading

10/01/2020

The disruption effect of blockchain and the future scenarios of contracting in the digital era.

by Ana Gascòn Marcèn and Claudia Marasco Abstract: The article analyzes the inadequacy of blockchain’s reference regulatory framework, in relation to its potential applicability to some crucial areas of law … Continue reading

27/12/2019

Impediments to resolvability: critical issues and challenges ahead

by Marco Bodellini Abstract: This paper analyses the impediments to resolvability, distinguishing between exogenous (or architectural) impediments and endogenous (or stricto sensu) impediments. They are both obstacles that can hinder … Continue reading

20/12/2019

An analysis of the resolution regimes for failing banks in Russia

by Ilya A. Goncharenko and Gennadi P. Tolstopyatenko   Abstract: This article discusses the regulatory framework of resolution regimes for failing banks in the Russian banking sector. It includes an … Continue reading

14/11/2019