Content
Undated material is presented at the end, although it may be more recent than other items
2024
- 2401 Open innovation in family-owned firms
by Valentina Peruzzi
2023
- 2301 The distributional impact of local banking. Evidence from the financial and sovereign-debt crises
by Valentina Peruzzi & Pierluigi Murro & Stefano Di Colli
2022
- 2201 Credit constraints and open innovation strategies
by Pierluigi Murro & Valentina Peruzzi
2020
- 2006 Relationship lending and the use of trade credit: the role of relational capital and private information
by Pierluigi Murro & Valentina Peruzzi - 2005 Systemic Risk and the COVID Challenge in the European Banking Sector
by Nicola Borri & Giorgio Di Giorgio - 2003 Credit Markets, Relationship Banking, and Firm Entry
by Qingqing Cao & Paolo Giordani & Raoul Minetti & Pierluigi Murro - 2002 Growing through Spinoffs. Corporate Governance, Entry, and Innovation
by Maurizio Iacopetta & Raoul Minetti & Pierluigi Murro - 2001 The Economics of Helicopter Money
by Pierpaolo Benigno & Salvatore Nisticò
2019
- 1904 The Risk Weighted Ownership Index: an ex-ante measure of banks' risk and performance
by Luca Bellardini & Pierluigi Murro & Daniele Previtali - 1902 Not all banks are equal. Cooperative banking and income inequality
by Raoul Minetti & Pierluigi Murro & Valentina Peruzzi - 1901 Market-timing performance of mutual fund investors in Emerging Markets
by Alberto Cagnazzo
2018
- 1804 Cooperative banks and income inequality: Evidence from Italian provinces
by Pierluigi Murro & Valentina Peruzzi - 1803 Credit Rationing in European SMEs and their Lending Infrastructure
by Andrea Mc Namara & Pierluigi Murro
2014
- 1407 La valutazione del merito creditizio per le reti d’impresa
by Bernardino Quattrociocchi & Pina Murè & Luca Pasqualino - 1406 The effectiveness of non-standard monetary policy measures: evidence from survey data
by Carlo Altavilla & Domenico Giannone - 1405 How Effective Is Central Bank Forward Guidance?
by Clemens J. M. Kool Author-Name-First Clemens J. M. & Daniel L. Thornton Author-Name-First Daniel L. - 1404 Financial Markets, BanksÕ Cost of Funding, and FirmsÕ Decisions: Lessons from Two Crises
by Pierluigi Balduzzi & Emanuele Brancati & Fabio Schiantarelli - 1403 Innovation, financial constraints and relationship lending: firm-level evidence in times of crisis
by Emanuele Brancati - 1402 The economics of private digital currency
by Gerald P. Dwywer Author-Name-First Gerald P. - 1401 Fiscal shocks and the exchange rate
by Giorgio Di Giorgio Author-Name-First Giorgio & Salvatore Nistico' Author-Name-First Salvatore & Guido Traficante Author-Name-First Guido
2013
- 1310 Le nuove disposizioni di vigilanza in materia di controlli interni: le prime evidenze del III pilastro
by Rosaria Cerrone Author-Name-First Rosaria - 1309 Le sanzioni amministrative per le banche italiane: effetti sulle performance (prima parte)
by Giuseppina Mure' Author-Name-First Giuseppina - 1308 Banche locali e Pmi nel mercato del credito: dalla crisi un forte impulso per rivedere la relazione in chiave evoluzionistica
by Francesco Minnetti Author-Name-First Francesco - 1307 Local banking development and income distribution across Italian provinces
by Alexandra D'Onofrio & Pierluigi Murro - 1306 Pessimistic optimal choice for risk-averse agents
by Paolo Vitale Author-Name-First Paolo - 1305 La trasmissione della politica monetaria unica e gli effetti sulle banche locali
by Giorgio Di Giorgio Author-Name-First Giorgio & Guido Traficante - 1304 IMF Lending and Banking Crises
by Luca Papi Author-Name-First Luca & Andrea F. Presbitero & Alberto Zazzaro - 1303 Do Banks Price Discriminate Spatially? Evidence from Small Business Lending in Local Credit Markets
by Andrea Bellucci & Alexander Borisov & Alberto Zazzaro - 1302 Family Firms, Corporate Governance, and Export
by Raoul Minetti & Pierluigi Murro & Susan Chun Zhu - 1301 On the Dynamics of Industrial Stock Market Excess Returns
by Michael Donadelli
2012
- 1212 SME Financing and the Choice of Lending Technology in Italy: Complementarity or Substitutability?
by Francesca Bartoli & Giovanni Ferri & Pierluigi Murro & Zeno Rotondi - 1211 Systemic Risk and the European Banking Sector
by Nicola Borri & Marianna Caccavaio & Giorgio Di Giorgio & Alberto Maria Sorrentino - 1210 Animal Spirits and Entrepreneurial Innovation: Theory and Evidence
by Angela Cipollone & Paolo Giordani - 1209 Were multinational banks taking excessive risks before the recent financial crisis?
by Luis Mohamed Azzim Gulamhussen & Carlos Pinheiro & Alberto Franco Pozzolo - 1208 Exchange Rate, External Orientation of Firms and Wage Adjustment
by Francesco Nucci & Alberto Franco Pozzolo - 1207 Do Firm-Bank ``Odd Couples'' Exacerbate Credit Rationing?
by Giovanni Ferri & Pierluigi Murro - 1205 Equity options, credit default swaps e leverage: un semplice modello a volatilita' stocastica per i derivati azionari e creditizi
by Gaia Barone - 1204 Credit Crunches, Asset Prices and Technological Change
by Luis Araujo & Raoul Minetti - 1203 Linear Risk-averse Optimal Control Problems: Applications in Economics and Finance
by Paolo Vitale - 1202 SMEs and the challenge to go public: evidence from a recent survey
by Marianna Caccavaio & Jacopo Carmassi & Giorgio Di Giorgio & Marco Spallone - 1201 The Equity Risk Premium: Empirical Evidence from Emerging Markets
by Michael Donadelli & Lorenzo Prosperi
2011
- 1108 L'elasticitˆ della domanda nel mercato italiano dei giochi: inquadramento generale ed analisi dei casi del lotto e del superenalotto
by Alessandro Pandimiglio & Marco Spallone - 1107 Optimal Monetary Policy and Stock-Prices Dynamics in a Non-Ricardian DSGE Model
by Salvatore Nistico' - 1106 Analisi dell'elasticitˆ della domanda nel mercato dei tabacchi lavorati in Italia
by Alessandro Pandimiglio & Marco Spallone & Stefano Marzioni - 1105 I debiti sovrani dell'area Euro: implicazioni per la gestione e la distribuzione dei prodotti di risparmio
by Nicola Borri & Filippo Russo - 1104 The loss from uncertainty on policy targets
by Giorgio Di Giorgio & Guido Traficante - 1103 An Investigation of the Strategic Implications of Environmental Monitoring
by Alberto Casagrande & Marco Spallone - 1102 Monetary Policy, Liquidity Stress and Learning Dynamics
by Stefano Marzioni - 1101 Productivity Shocks, Stabilization Policies and the Dynamics of Net Foreign Assets
by Giorgio Di Giorgio & Salvatore Nistico'
Undated
- 1501 Risk premia in long-duration sovereign bonds
by Nicola Borri