Conditional Tail-Risk in Cryptocurrency Markets N Borri Journal of Empirical Finance 50, 1-19, 2019 | 400 | 2019 |
Sovereign risk premia N Borri, A Verdelhan AFA 2010 Atlanta Meetings Paper, 2011 | 232 | 2011 |
Systemic risk and the COVID challenge in the European banking sector N Borri, G Di Giorgio Journal of Banking & Finance 140, 106073, 2022 | 148 | 2022 |
The economics of non-fungible tokens N Borri, Y Liu, A Tsyvinski Available at SSRN 4052045, 2022 | 132 | 2022 |
Regulation Spillovers across Cryptocurrency Markets N Borri, K Shakhnov Finance Research Letters, 2019 | 85 | 2019 |
The Cross-Section of Cryptocurrency Returns N Borri, K Shakhnov https://papers.ssrn.com/sol3/papers.cfm?abstract_id=3241485, 2018 | 58* | 2018 |
Systemic risk in the Italian banking industry N Borri, M Caccavaio, GD Giorgio, AM Sorrentino Economic Notes: Review of Banking, Finance and Monetary Economics 43 (1), 21-38, 2014 | 43 | 2014 |
Cryptomarket discounts N Borri, K Shakhnov Journal of International Money and Finance 139, 102963, 2023 | 39 | 2023 |
Systemic risk in the European banking sector N Borri, M Caccavaio, G Di Giorgio, AM Sorrentino Available at SSRN 2112919, 2012 | 35 | 2012 |
The “great lockdown”: Inactive workers and mortality by covid‐19 N Borri, F Drago, C Santantonio, F Sobbrio Health economics 30 (10), 2367-2382, 2021 | 33 | 2021 |
The housing cost disease N Borri, P Reichlin Journal of Economic Dynamics and Control 87, 106-123, 2018 | 31 | 2018 |
Crypto risk premia N Borri, D Massacci, M Rubin, D Ruzzi Available at SSRN 4154627, 2022 | 25 | 2022 |
Local Currency Systemic Risk N Borri Emerging Markets Review 34 (C), 111-123, 2018 | 24 | 2018 |
Breakup and Default Risks in the Great Lockdown G Bonaccolto, N Borri, A Consiglio d/SEAS Working Paper, Forthcoming, 2020 | 20* | 2020 |
Optimal taxation with home ownership and wealth inequality N Borri, P Reichlin Review of Economic Dynamics 40, 64-84, 2021 | 15 | 2021 |
The Performance of Market‐Timing Strategies of Italian Mutual Fund Investors N Borri, A Cagnazzo Economic Notes: Review of Banking, Finance and Monetary Economics 47 (1), 5-20, 2018 | 12 | 2018 |
Redenomination-Risk Spillovers in the Eurozone N Borri Economics Letters 174 (C), 173-178, 2019 | 10 | 2019 |
Limited Participation and Local Currency Sovereign Debt N Borri, K Shakhnov https://papers.ssrn.com/sol3/papers.cfm?abstract_id=2978127, 2017 | 10 | 2017 |
Global risk in long-term sovereign debt N Borri, K Shakhnov The Review of Asset Pricing Studies 11 (3), 654-693, 2021 | 7 | 2021 |
Sovereign Risk Premia. Manuscript N Borri, A Verdelhan LUISS Guido Carli University, 2009 | 7 | 2009 |