Content
2012
- 876 Banks� reactions to Basel-III
by Paolo Angelini & Andrea Gerali - 875 Family background, self-confidence and economic outcomes
by Antonio Filippin & Marco Paccagnella - 874 Evidence on the impact of R&D and ICT investment on innovation and productivity in Italian firms
by Bronwyn H. Hall & Francesca Lotti & Jacques Mairesse - 873 Euro area and global oil shocks: an empirical model-based analysis
by Lorenzo Forni & Andrea Gerali & Alessandro Notarpietro & Massimiliano Pisani - 872 Selecting predictors by using Bayesian model averaging in bridge models
by Lorenzo Bencivelli & Massimiliano Marcellino & Gianluca Moretti - 871 Capital destruction, jobless recoveries, and the discipline device role of unemployment
by Marianna Riggi - 870 To misreport or not to report? The measurement of household financial wealth
by Andrea Neri & Maria Giovanna Ranalli - 869 Network effects of public transport infrastructure: evidence on Italian regions
by Valter Di Giacinto & Giacinto Micucci & Pasqualino Montanaro - 868 The economic costs of organized crime: evidence from southern Italy
by Paolo Pinotti - 867 Disinflation effects in a medium-scale New Keynesian model: money supply rule versus interest rate rule
by Guido Ascari & Tiziano Ropele - 866 Don't stand so close to me: the urban impact of immigration
by Antonio Accetturo & Francesco Manaresi & Sauro Mocetti & Elisabetta Olivieri - 865 Corporate geography in multi-plant firms
by Rita Cappariello & Stefano Federico & Roberta Zizza - 864 Measuring the underground economy with the currency demand approach: a reinterpretation of the methodology, with an application to Italy
by Guerino Ardizzi & Carmelo Petraglia & Massimiliano Piacenza & Gilberto Turati - 863 House price cycles in emerging economies
by Alessio Ciarlone - 862 Does gender matter for public spending? Empirical evidence from Italian municipalities
by Massimiliano Rigon & Giulia Martina Tanzi - 861 Monetary policy and the flow of funds in the euro area
by Riccardo Bonci - 860 The effects of unemployment benefits in Italy: evidence from an institutional change
by Alfonso Rosolia & Paolo Sestito - 859 Optimal fiscal policy when agents fear government default
by Francesco Caprioli & Pietro Rizza & Pietro Tommasino - 858 Economic (in)stability under monetary targeting
by Luca Sessa - 857 Modelling loans to non-financial corporations in the euro area
by Christoffer Kok S�rensen & David Marqu�s Ib��ez & Carlotta Rossi - 856 Optimal dynamic public communication
by Marcello Miccoli - 855 Trade openness and international fragmentation of production in the European Union: the new divide?
by Paolo Guerrieri & Filippo Vergara Caffarelli - 854 Entry dynamics as a solution to the puzzling behaviour of real marginal costs in the Ghironi-Melitz model
by Alberto Felettigh - 853 Forecasting world output: the rising importance of emerging economies
by Alessandro Borin & Riccardo Cristadoro & Roberto Golinelli & Giuseppe Parigi - 852 Statistical models for measuring job satisfaction
by Romina Gambacorta & Maria Iannario - 851 The impact of monetary policy shocks on commodity prices
by Alessio Anzuini & Marco J. Lombardi & Patrizio Pagano - 850 Mapping local productivity advantages in Italy: industrial districts, cities or both?
by Valter Di Giacinto & Matteo Gomellini & Giacinto Micucci & Marcello Pagnini - 849 The role of financial investments in agricultural commodity derivatives markets
by Alessandro Borin & Virginia Di Nino - 848 Bank balance sheets and the transmission of financial shocks to borrowers: evidence from the 2007-2008 crisis
by Emilia Bonaccorsi di Patti & Enrico Sette - 847 Forecasting economic activity with higher frequency targeted predictors
by Guido Bulligan & Massimiliano Marcellino & Fabrizio Venditti - 846 Welcome to the machine: firms' reaction to low-skilled immigration
by Antonio Accetturo & Matteo Bugamelli & Andrea Lamorgese - 845 Do wealth fluctuations generate time-varying risk aversion? Italian micro-evidence on household asset allocation
by Giuseppe Cappelletti - 844 How sticky are local expenditures in Italy? Assessing the relevance of the �flypaper effect� through municipal data
by Elena Gennari & Giovanna Messina - 843 Wealth effects in emerging economies
by Alessio Ciarlone - 842 Expected inflation and inflation risk premium in the euro area and in the United States
by Marcello Pericoli - 841 Real term structure and inflation compensation in the euro area
by Marcello Pericoli - 840 Ranking, risk-taking and effort: an analysis of the ECB's foreign reserves management
by Antonio Scalia & Benjamin Sahel
2011
- 839 The effects of fiscal shocks with debt-stabilizing budgetary policies in Italy
by Francesco Caprioli & Sandro Momigliano - 838 Households' savings in China
by Riccardo Cristadoro & Daniela Marconi - 837 The effects of financial and real wealth on consumption: new evidence from OECD countries
by Riccardo De Bonis & Andrea Silvestrini - 836 Bayesian analysis of coefficient instability in dynamic regressions
by Emanuela Ciapanna & Marco Taboga - 835 Why are the 2000s so different from the 1970s? A structural interpretation of changes in the macroeconomic effects of oil prices in the US
by Olivier Blanchard & Marianna Riggi - 834 A method to estimate power parameter in Exponential Power Distribution via polynomial regression
by Daniele Coin - 833 Electoral rules and voter turnout
by Guglielmo Barone & Guido de Blasio - 832 Investment forecasting with business survey data
by Leandro D�Aurizio & Stefano Iezzi - 831 Risk measures for autocorrelated hedge fund returns
by Antonio Di Cesare & Philip A. Stork & Casper G. de Vries - 830 Structural reforms and macroeconomic performance in the euro area countries: a model-based assessment
by Sandra Gomes & Pascal Jacquinot & Matthias Mohr & Massimiliano Pisani - 829 Bank heterogeneity and interest rate setting: what lessons have we learned since Lehman Brothers?
by Leonardo Gambacorta & Paolo Emilio Mistrulli - 828 Healthcare in Italy: expenditure determinants and regional differentials
by Maura Francese & Marzia Romanelli - 827 Foreign trade, home linkages and the spatial transmission of economic fluctuations in Italy
by Valter Di Giacinto - 826 Do interbank customer relationships exist? And how did they function in the crisis? Learning from Italy
by Massimiliano Affinito - 825 Evaluating students' evaluations of professors
by Michela Braga & Marco Paccagnella & Michele Pellizzari - 824 The public-private pay gap: a robust quantile approach
by Domenico Depalo & Raffaela Giordano - 823 On the optimal size of local jurisdictions: new evidence from Italian provinces
by Guglielmo Barone - 822 The demand for energy of Italian households
by Ivan Faiella - 821 The sovereign credit default swap market: price discovery, volumes and links with banks' risk premia
by Alessandro Carboni - 820 The relationship between the PMI and the Italian index of industrial production and the impact of the latest economic crisis
by Valentina Aprigliano - 819 The interbank market after the financial turmoil: squeezing liquidity in a "lemons market" or asking liquidity "on tap"
by Antonio De Socio - 818 Leaving home and housing prices. The experience of Italian youth emancipation
by Francesca Modena & Concetta Rondinelli - 817 Macroeconomic determinants of carry trade activity
by Alessio Anzuini & Fabio Fornari - 816 Home bias in interbank lending and banks� resolution regimes
by Michele Manna - 815 Skills or culture? An analysis of the decision to work by immigrant women in Italy
by Antonio Accetturo & Luigi Infante - 814 An unexpected crisis? Looking at pricing effectiveness of different banks
by Valerio Vacca - 813 Legal status of immigrants and criminal behavior: evidence from a natural experiment
by Giovanni Mastrobuoni & Paolo Pinotti - 812 Welfare costs of inflation and the circulation of US currency abroad
by Alessandro Calza & Andrea Zaghini - 811 Schooling and youth mortality: learning from a mass military exemption
by Piero Cipollone & Alfonso Rosolia - 810 The welfare effect of foreign monetary conservatism with non-atomistic wage setters
by Vincenzo Cuciniello - 809 Convergence clubs, the euro-area rank and the relationship between banking and real convergence
by Massimiliano Affinito - 808 The monetary transmission mechanism in the euro area: has it changed and why?
by Martina Cecioni & Stefano Neri - 807 Housing, consumption and monetary policy: how different are the U.S. and the euro area?
by Alberto Musso & Stefano Neri & Livio Stracca - 806 Heterogeneity and learning with complete markets
by Sergio Santoro - 805 What determines annuity demand at retirement?
by Giuseppe Cappelletti & Giovanni Guazzarotti & Pietro Tommasino - 804 Quality upgrading of Italian manufactures: evidence from firms� prices and strategies
by Valter Di Giacinto & Giacinto Micucci - 803 Financial subsidies and bank lending: substitutes or complements? Micro level evidence from Italy
by Amanda Carmignani & Alessio D'Ignazio - 802 Imperfect information, real-time data and monetary policy in the euro area
by Stefano Neri & Tiziano Ropele - 801 Monetary and macroprudential policies
by Paolo Angelini & Stefano Neri & Fabio Panetta - 800 Performance pay and shifts in macroeconomic correlations
by Francesco Nucci & Marianna Riggi - 799 Bootstrap LR tests of stationarity, common trends and cointegration
by Fabio Busetti & Silvestro di Sanzo - 798 Managerial incentives, financial constraints and ownership concentration
by Marco Protopapa - 797 Reserve management and sovereign debt cost in a world with liquidity crises
by Flavia Corneli & Emanuele Tarantino - 796 Securitization is not that evil after all
by Ugo Albertazzi & Ginette Eramo & Leonardo Gambacorta & Carmelo Salleo - 795 Italian open-end funds: performance of asset management companies
by Michele Leonardo Bianchi & Maria Grazia Miele - 794 Bridging the gap between migrants and the banking system
by Giorgio Albareto & Paolo Mistrulli - 793 Credit availability and investment in Italy: lessons from the "Great Recession"
by Eugenio Gaiotti - 792 Evaluating the impact of innovation incentives: evidence from an unexpected shortage of funds
by Guido de Blasio & Davide Fantino & Guido Pellegrini - 791 Are incentives for R&D effective? Evidence from a regression discontinuity approach
by Raffaello Bronzini & Eleonora Iachini - 790 Testing for East-West contagion in the European banking sector during the financial crisis
by Emidio Cocozza & Paolo Piselli - 789 Policies for local development: an evaluation of Italy's "Patti Territoriali"
by Antonio Accetturo & Guido de Blasio - 788 FaMIDAS: A Mixed Frequency Factor Model with MIDAS structure
by Cecilia Frale & Libero Monteforte - 787 Monetary incentives vs. monitoring in addressing absenteeism: experimental evidence
by Francesco D'Amuri - 786 Public sector efficiency and political culture
by Raffaela Giordano & Pietro Tommasino - 785 Sectoral money demand and the great disinflation in the US
by Alessandro Calza & Andrea Zaghini - 784 Stars and comets: an exploration of the patent universe
by Carlo Menon
2010
- 783 (Non)persistent effects of fertility on female labour supply
by Concetta Rondinelli & Roberta Zizza - 782 Central banks' macroeconomic projections and learning
by Giuseppe Ferrero & Alessandro Secchi - 781 Changing institutions in the European market: the impact on mark-ups and rents allocation
by Antonio Bassanetti & Roberto Torrini & Francesco Zollino - 780 Under/over-valuation of the stock market and cyclically adjusted earnings
by Marco Taboga - 779 On the interaction between market and credit risk: a factor-augmented vector autoregressive (FAVAR) approach
by Roberta Fiori & Simonetta Iannotti - 778 The rise of risk-based pricing of mortgage interest rates in Italy
by Silvia Magri & Raffaella Pico - 777 Income reporting behaviour in sample surveys
by Andrea Neri & Roberta Zizza - 776 Measuring the price elasticity of import demand in the destination markets of Italian export
by Alberto Felettigh & Stefano Federico - 775 Entrepreneurship and market size. The case of young college graduates in Italy
by Sabrina Di Addario & Daniela Vuri - 774 Credit ratings in structured finance and the role of systemic risk
by Roberto Violi - 773 Firm entry, competitive pressures and the US inflation dynamics
by Martina Cecioni - 772 Relationship lending in a financial turmoil
by Stefania De Mitri & Giorgio Gobbi & Enrico Sette - 771 Modelling Italian potential output and the output gap
by Antonio Bassanetti & Michele Caivano & Alberto Locarno - 770 The EAGLE. A model for policy analysis of macroeconomic interdependence in the euro area
by Sandra Gomes & Pascal Jacquinot & Massimiliano Pisani - 769 Does investing abroad reduce domestic activity? Evidence from Italian manufacturing firms
by Raffaello Bronzini - 768 The effect of age on portfolio choices: evidence form an Italian pension fund
by Giuseppe Cappelletti & Giovanni Guazzarotti & Pietro Tommasino - 767 Real time forecasts of inflation: the role of financial variables
by Libero Monteforte & Gianluca Moretti - 766 With a little help from abroad: the effect of low-skilled immigration on the female labor supply
by Guglielmo Barone & Sauro Mocetti - 765 Information uncertainty and the reaction of stock prices to news
by Paolo Angelini & Giovanni Guazzarotti - 764 Disentangling demand and supply in credit developments: a survey-based analysis for Italy
by Paolo Del Giovane & Ginette Eramo & Andrea Nobili - 763 Debt restructuring and the role of lending technologies
by Giacinto Micucci & Paola Rossi - 762 A public guarantee of a minimum return to defined contribution pension scheme members
by Giuseppe Grande & Ignazio Visco - 761 The determinants of teacher mobility. Evidence from a panel of Italian teachers
by Gianna Barbieri & Claudio Rossetti & Paolo Sestito - 760 Switching costs in local credit markets
by Guglielmo Barone & Roberto Felici & Marcello Pagnini - 759 Financial innovation and risk: the role of information
by Roberto Piazza - 758 A non-parametric model-based approach to uncertainty and risk analysis of macroeconomic forecast
by Claudia Miani & Stefano Siviero - 757 A note on rationalizability and restrictions on belief
by Giuseppe Cappelletti - 756 Credit supply, flight to quality and evergreening: an analysis of bank-firm relationships after Lehman
by Ugo Albertazzi & Domenico J. Marchetti - 755 Asset-based measurement of poverty
by Andrea Brandolini & Silvia Magri & Timothy M. Smeeding - 754 Value-added measures in Italian high schools: problems and findings
by Piero Cipollone & Pasqualino Montanaro & Paolo Sestito - 753 The pricing of government-guaranteed bank bonds
by Aviram Levy & Andrea Zaghini - 752 Information technology and banking organization
by Sauro Mocetti & Marcello Pagnini & Enrico Sette - 751 Down the non-linear road from oil to consumer energy prices: no much asymmetry along the way
by Fabrizio Venditti - 750 Estimating DSGE models with unknown data persistence
by Gianluca Moretti & Giulio Nicoletti - 749 An analysis of the determinants of credit default swap spread changes before and during the subprime financial turmoil
by Antonio Di Cesare & Giovanni Guazzarotti - 748 How does immigration affect native internal mobility? New evidence from Italy
by Sauro Mocetti & Carmine Porello - 747 The macroeconomics of fiscal consolidations in a monetary union: the case of Italy
by Lorenzo Forni & Andrea Gerali & Massimiliano Pisani - 746 On vector autoregressive modeling in space and time
by Valter Di Giacinto - 745 Too many lawyers? Litigation in Italian civil courts
by Amanda Carmignani & Silvia Giacomelli - 744 Trade, technical progress and the environment: the role of a unilateral green tax on consumption
by Daniela Marconi - 743 The effect of the Uruguay Round on the intensive and extensive margins of trade
by Ines Buono & Guy Lalanne - 742 Outsourcing versus Integration at Home or Abroad
by Stefano Federico - 741 Why do (or did?) banks securitize their loans? Evidence from Italy
by Massimiliano Affinito & Edoardo Tagliaferri - 740 Credit and banking in a DSGE model of the euro area
by Andrea Gerali & Stefano Neri & Luca Sessa & Federico M. Signoretti - 739 The use of survey weights in regression analysis
by Ivan Faiella - 738 External trade and monetary policy in a currency area
by Martina Cecioni - 737 The pro-competitive effect of imports from China: an analysis of firm-level price data
by Matteo Bugamelli & Silvia Fabiani & Enrico Sette - 736 Sacrifice ratio or welfare gain ratio? Disinflation in a DSGE monetary model
by Guido Ascari & Tiziano Ropele
2009
- 735 Mutual guarantee institutions and small business finance
by Francesco Columba & Leonardo Gambacorta & Paolo Emilio Mistrulli - 734 Networks with decreasing returns to linking
by Filippo Vergara Caffarelli - 733 Dynamic macroeconomic effects of public capital: evidence from regional Italian data
by Valter Di Giacinto & Giacinto Micucci & Pasqualino Montanaro - 732 Tax morale and public spending inefficiency
by Guglielmo Barone & Sauro Mocetti - 731 The interbank market after August 2007: what has changed, and why?
by Paolo Angelini & Andrea Nobili & Maria Cristina Picillo - 730 The riskiness of corporate bonds
by Marco Taboga - 729 Trade-Revealed TFP
by Andrea Finicelli & Patrizio Pagano & Massimo Sbracia - 728 Ricardian selection
by Andrea Finicelli & Patrizio Pagano & Massimo Sbracia - 727 Sorting, reputation and entry in a market for experts
by Enrico Sette - 726 Low skilled immigration and the expansion of private schools
by Davide Dottori & I-Ling Shen - 725 How are firms' wages and prices linked: survey evidence in Europe
by Martine Druant & Silvia Fabiani & Gabor Kezdig & Ana Lamo & Fernando Martins & Roberto Sabbatini - 724 Nonlinear dynamics in welfare and the evolution of world inequality
by Davide Fiaschi & Marzia Romanelli - 723 Comparing forecast accuracy: A Monte Carlo investigation
by Fabio Busetti & Juri Marcucci & Giovanni Veronese - 722 The effects of privatization and consolidation on bank productivity: comparative evidence from Italy and Germany
by Elisabetta Fiorentino & Alessio De Vincenzo & Frank Heid & Alexander Karmann & Michael Koetter - 721 Trust and Regulation: Addressing a Cultural Bias
by Paolo Pinotti - 720 The Announcement of Monetary Policy Intentions
by Giuseppe Ferrero & Alessandro Secchi - 719 Household wealth and entrepreneurship: is there a link?
by Silvia Magri - 718 Innovation and productivity in SMEs. Empirical evidence for Italy
by Bronwyn H. Hall & Francesca Lotti & Jacques Mairesse - 717 When the highest bidder loses the auction: theory and evidence from public procurement
by Francesco Decarolis - 716 The euro and firm restructuring
by Matteo Bugamelli & Fabiano Schivardi & Roberta Zizza - 715 Firm heterogeneity and comparative advantage: the response of French firms to Turkey's entry in the European Customs Union
by Ines Buono - 714 The retail activity of foreign banks in Italy: effects on credit supply to households and firms
by Luigi Infante & Paola Rossi - 713 Composite indicators for monetary analysis
by Andrea Nobili - 712 Bank risk and monetary policy
by Yener Altunbas & Leonardo Gambacorta & David Marqu�s-Ib��ez - 711 The topology of the interbank market: developments in Italy since 1990
by Michele Manna & Carmela Iazzetta - 710 Gradualism, transparency and the improved operational framework: a look at the overnight volatility transmission
by Silvio Colarossi & Andrea Zaghini - 709 Politicians at work. The private returns and social costs of political connections
by Federico Cingano & Paolo Pinotti - 708 Trend inflation, Taylor principle and indeterminacy
by Guido Ascari & Tiziano Ropele - 707 What determines the size of bank loans in industrialized countries? The role of government debt
by Riccardo De Bonis & Massimiliano Stacchini - 706 Macroeconomic effects of greater competition in the service sector: the case of Italy
by Lorenzo Forni & Andrea Gerali & Massimiliano Pisani - 705 The (mis)specification of discrete duration models with unobserved heterogeneity: a Monte Carlo study
by Concetta Rondinelli & Cheti Nicoletti - 704 Oil and the macroeconomy: a quantitative structural analysis
by Francesco Lippi & Andrea Nobili - 703 Measuring wealth mobility
by Andrea Neri - 702 Dropping the books and working off the books
by Rita Cappariello & Roberta Zizza - 701 On analysing the world distribution of income
by Anthony Barnes Atkinson & Andrea Brandolini - 700 What determines debt intolerance? The role of political and monetary institutions
by Raffaela Giordano & Pietro Tommasino - 699 Bond risk premia, macroeconomic fundamentals and the exchange rate
by Marcello Pericoli & Marco Taboga
2008
- 698 Immigration and crime: an empirical analysis
by Milo Bianchi & Paolo Buonanno & Paolo Pinotti - 697 Technological change and the demand for currency: An analysis with household data
by Francesco Lippi & Alessandro Secchi - 696 Reservation wages: explaining some puzzling regional patterns
by Paolo Sestito & Eliana Viviano - 695 Immigrant earnings in the Italian labour market
by Antonio Accetturo & Luigi Infante - 694 Tax revenue and the macroeconomic framework in Italy
by Alberto Locarno & Alessandra Staderini - 693 Competing influence
by Enrico Sette - 692 Investors' risk attitude and risky behavior: a Bayesian approach with imperfect information
by Stefano Iezzi - 691 Educational choices and the selection process before and after compulsory schooling
by Sauro Mocetti - 690 Nonlinearities in the dynamics of the euro area demand for M1
by Alessandro Calza & Andrea Zaghini - 689 A beta based framework for (lower) bond risk premia
by Stefano Nobili & Gerardo Palazzo - 688 Agglomeration and growth: the effects of commuting costs
by Antonio Accetturo - 687 The Labor Market Impact of Immigration in Western Germany in the 1990's
by Francesco D'Amuri & Gianmarco I. P. Ottaviano & Giovanni Peri - 686 Exploring agent-based methods for the analysis of payment systems: a crisis model for StarLogo TNG
by Luca Arciero & Claudia Biancotti & Leandro D�Aurizio & Claudio Impenna - 685 Temporal aggregation of univariate and multivariate time series models: A survey
by Andrea Silvestrini & David Veredas - 684 Balancing work and family in Italy: New mothers� employment decisions after childbirth
by Piero Casadio & Martina Lo Conte & Andrea Neri - 683 A likelihood-based analysis for relaxing the exclusion restriction in randomized experiments with imperfect compliance
by Andrea Mercatanti - 682 Vertical specialisation in Europe: Evidence from the import content of exports
by Emanuele Breda & Rita Cappariello & Roberta Zizza - 681 Short-term interest rate futures as monetary policy forecasts
by Giuseppe Ferrero & Andrea Nobili - 680 Family Succession and Firm Performance: Evidence from Italian Family Firms
by Marco Cucculelli & Giacinto Micucci - 679 Does the expansion of higher education increase the equality of educational opportunities? Evidence from Italy
by Massimiliano Bratti & Daniele Checchi & Guido de Blasio