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Minerva Bancaria

Rivista Bancaria – Minerva Bancaria (ISSN: 1594-7556) invites Conference participants, and all those who might be interested, to submit, by June 30, 2025, their unpublished manuscripts for publication in a special issue of the Journal in memory of professor Giuseppe Muré, former editor of the Journal from 2003 to 2008.

The Journal aims to collect high-quality, theoretical or empirical papers, both in Italian and English, from scholars, policy makers and financial industry participants, discussing topics related to financial regulation and supervision, financial stability, financial intermediaries’ risk management and governance. Papers submitted by authors holding a master’s degree for no more than 3 years and who, eventually, still have to complete their Ph.D. program will be considered for a prize awarded by the Scientific Committee.

Topics of interest include, but are not limited to the following ones:

  • Costs and benefits of financial regulation and supervision;
  • Boundaries of banking regulation and implications of non-bank financial intermediaries’ activities;
  • Use of big data and machine learning in financial regulation and supervision;
  • Development of FinTech and new digital technologies: challenges for industry and regulators;
  • Environmental risks and ESG transition: implications for financial intermediaries and supervisors;
  • Regulatory responses and governing practices for cyber risk;
  • Bank crises management and the effectiveness of new supervisory tools;
  • The evolution of the internal control system in financial intermediaries.

Corresponding authors are kindly requested to attach the Conference discussant’s feedback as well as a detailed response letter explaining how the discussant’s suggestions have been accepted into the submitted version of the paper. All submitted papers will go through a fast-track review blind review. Papers acceptance to the Conference does not guarantee the publication in the special issue.