← All authors Mario Bellia Ca' Foscari University of Venice (from arXiv:2602.01817, 2026) · ORCID · OpenAlex
7 papers in scope · 7 published · 1 on the econ.EM arXiv · 67 citations · h-index 5 (over the papers listed here)
Papers Show only papers in our arXiv econ.EM corpus (1 of 7)
published 2025 · Journal of Financial Markets · 7 citations · first circulated 2024
Bank profitability and central bank digital currency
published 2025 · Journal of International Financial Markets Institutions and Money · 17 citations · first circulated 2023
Local banks and flood risk: The case of Germany
published 2024 · Journal of Environmental Management · 1 citations
with Erica Francesca Di Girolamo, Andrea Pagano
The demand for central clearing: To clear or not to clear, that is the question!
published 2024 · Journal of Financial Stability · 23 citations · first circulated 2017
Limiting too-big-to-fail: market reactions to policy announcements and actions
published 2021 · Journal of Banking Regulation · 11 citations
with Sara Maccaferri, Sebastian Schich
The sovereign-bank nexus in the euro area: financial and real channel
published 2020 · Quarterly Report on the Euro Area (QREA) · 2 citations · first circulated 2019
no link
Ratings matter: Announcements in times of crisis and the dynamics of stock markets
published 2019 · Journal of International Financial Markets Institutions and Money · 6 citations
with Nicoletta Rosati, Pedro Verga Matos, Vasco Miguel Silva Oliveira, Vasco Oliviera
Assembled from arXiv and OpenAlex. Duplicate records for the same paper are merged, and the published version is shown where we could identify one. Corrections welcome.
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