Temi di discussione (Economic working papers)
From Bank of Italy, Economic Research and International Relations Area Contact information at EDIRC. Bibliographic data for series maintained by (). Access Statistics for this working paper series.
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- 370: Forecasting Industrial Production in the Euro Area
- Giorgio Bodo, Roberto Golinelli and Giuseppe Parigi
- 369: Banking System, International Investors and Central Bank Policy in Emerging Markets
- Mariassunta Giannetti
- 368: Information Spillovers and Factor Adjustment
- Luigi Guiso and Fabiano Schivardi
- 367: An Investment-Function-Based Measure of Capacity Utilisation. Potential Output and Utilised Capacity in the Bank of Italy's Quarterly Model
- Giuseppe Parigi and Stefano Siviero
- 366: On the Mechanics of Migration Decisions; Skill Complementarities and Endogenous Price Differentials
- Mariassunta Giannetti
- 365: Labor Markets and Monetary Union; a Strategic Analysis
- Alex Cukierman and Francesco Lippi
- 364: Rigidity in the labour market, unemployment and growth
- Fabiano Schivardi
- 363: The transmission of monetary policy shocks in Italy
- Eugenio Gaiotti
- 362: Markup and the Business Cycle: Evidence from Italian Manufacturing Branches
- Domenica J. Marchetti
- 361: Why Do Banks Merge?
- Dario Focarelli, Fabio Panetta and Carmelo Salleo
- 360: The cost and availability of credit for firms in industrial districts
- Paolo Finaldi Russo and Paola Rossi
- 359: Does Market Transparency Matter? a Case Study
- Antonio Scalia and Valerio Vacca
- 358: The Impact of News on the Exchange Rate of the Lira and Long-Term Interest Rates
- Fabio Fornari, Carlo Monticelli, Marcello Pericoli and Massimo Tivegna
- 357: Are model-based inflation forecasts used in monetary policymaking? A case study
- Stefano Siviero, Daniele Terlizzese and Ignazio Visco
- 356: What is the Optimal Institutional Arrangement for a Monetary Union?
- Leonardo Gambacorta
- 355: The economyc policy of fiscal consolidations: The european experience
- Andrea Zaghini
- 354: How deep are the deep parameters?
- Filippo Altissimo, Stefano Siviero and Daniele Terlizzese
- 353: Is there an Equity Premium Puzzle in Italy? A Look at Asset Returns, Consumption and Financial Structure Data over the Last Century
- Fabio Panetta and Roberto Violi
- 352: Errors and omissions in the balance of payments, capital exports and the financial openness of Italy
- Marco Committeri
- 351: Median Voter Preferences, Central Bank Independence and Conservatism
- Francesco Lippi
- 350: The Distribution of Personal Income in Post-War Italy: Source Description, Data Quality, and the Time Pattern of Income Inequality
- Andrea Brandolini
- 349: The economic effects of the new rules for the taxation of income from financial investment
- Riccardo Cesari
- 348: Atypical working hours in Italy: an analysis based on Istat�s survey on the use of time
- Roberto Torrini
- 347: Industrial District and Local Banks: Do the Twins Ever Meet?
- Alberto Baffigi, Marcello Pagnini and Fabio Quintiliani
- 346: A homogeneous reconstruction of regional data: household accounts and disposable income, 1970-1995
- Pierpaolo Berrettoni, Roberto Delogu, Carmine Pappalardo and Paolo Piselli
- 345: Reallocation and Learning over the Business Cycle
- Fabiano Schivardi
- 344: Investment and the Exchange Rate
- Francesco Nucci and Alberto Pozzolo
- 343: What Caused the Asian Currency and Financial Crisis?
- Giancarlo Corsetti, Paolo Pesenti and Nouriel Roubini
- 342: Energy Consumption, Survey Data and the Prediction of Industrial Production in Italy
- Domenico J. Marchetti and Giuseppe Parigi
- 341: "Enemy of None but a Common Friend of All"? An International Perspective on the Lender-of-Last-Resort Function
- Curzio Giannini
- 340: Heterogeneous "Credit Channels" and Optimal Monetary Policy in a Monetary Union
- Leonardo Gambacorta
- 339: The Probability Density Function of Interest Rates Implied in the Price of Options
- Fabio Fornari and Roberto Violi
- 338: Nonlinear VAR: Some Theory and an Application to US GNP and Unemployment
- Filippo Altissimo and Giovanni Luca VIolante
- 337: Foreign direct investment and trade: complements or substitutes?
- Alessandra Mori and Valeria Rolli
- 336: Fiscal Consolidations under Fixed Exchange Rates
- Paola Casell
- 335: Signaling Fiscal Regime Sustainability
- Francesco Drudi and Alessandro Prati
- 334: Budgetary policy in the countries of the European Union in the 1990s
- Paola Caselli and Roberto Rinaldi
- 333: The demand for bank loans in Italy at national and macro-regional level (1984-96)
- Dario Focarelli and Paola Rossi
- 332: Central Bank Independence, Centralization of Wage Bargaining, Inflation and Unemployment: Theory and Evidence
- Alex Cukierman and Francesco Lippi
- 331: Research and Development, Regional Spillovers, and the Location of Economic Activities
- Alberto Pozzolo
- 330: The problem of increasing fragility in the “financial instability hypothesis” from a Kaleckian perspective
- Gennaro Corbisiero
- 329: Results and problems of five years of incomes policy: an initial quantitative evaluation
- Silvia Fabiani, Alberto Locarno, Gianpaolo Oneto and Paolo Sestito
- 328: The Behaviour of the Dollar and Exchange Rates in Europe: Empirical Evidence and Possible Explanations
- Paolo del Giovane and Alberto Pozzolo
- 327: International Risk Sharing and European Monetary Unification
- Bent E. S�rensen and Oved Yosha
- 326: Adverse Selection of Investment Projects and the Business Cycle
- Pietro Reichlin and Paolo Siconolfi
- 325: Style, Fees and Performance of Italian Equity Funds
- Riccardo Cesari and Fabio Panetta
- 317: Sensitivity of VaR measures to different risk models
- Francesco Drudi, Andrea Generale and Giovanni Majnoni
- 315: Tassi bancari attivi e struttura finanziaria in Italia: un'analisi empirica
- Carlo Cottarelli, Giovanni Ferri and Andrea Generale
- 265: Il recupero dei crediti: costi, tempi e comportamenti delle banche
- Andrea Generale and Giorgio Gobbi
- 231: Un’analisi empirica della relazione tra tassi del mercato interno e dell’eurolira
- Chiara Bentivogli and Andrea Generale
- 227: Un’analisi empirica della relazione tra tassi del mercato interno e dell’eurolira
- Giovanni Ferri and Andrea Generale
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