Content
2008
- 673 Output growth volatility and remittances
by Matteo Bugamelli & Francesco Patern� - 672 Labour market for teachers: Demographic characteristics and allocative mechanisms
by Gianna Barbieri & Piero Cipollone & Paolo Sestito - 671 Cyclical asymmetry in fiscal variables
by Fabrizio Balassone & Maura Francese & Stefania Zotteri - 670 Credit risk and business cycle over different regimes
by Juri Marcucci & Mario Quagliariello - 669 Values, inequality and happiness
by Claudia Biancotti & Giovanni D'Alessio - 668 On applying synthetic indices of multidimensional well-being: health and income inequalities in selected EU countries
by Andrea Brandolini - 667 Innovation driven sectoral shocks and aggregate city cycles
by Andrea R. Lamorgese - 666 What are borders made of? An analysis of barriers to European banking integration
by Massimiliano Affinito & Matteo Piazza - 665 Directed Matching with Endogenous Markov Probability: Clients or Competitors?
by Emanuela Ciapanna - 664 Portfolio Selection with Monotone Mean-Variance Preferences
by Fabio Maccheroni & Massimo Marinacci & Aldo Rustichini & Marco Taboga - 663 Delayed privatization
by Bernardo Bortolotti & Paolo Pinotti - 662 Accounting for sampling design in the SHIW
by Ivan Faiella - 661 The effect of investment tax credit: Evidence from an atypical programme in Italy
by Raffaello Bronzini & Guido de Blasio & Guido Pellegrini & Alessandro Scognamiglio - 660 Real exchange rate volatility and disconnect: an empirical investigation
by Riccardo Cristadoro & Andrea Gerali & Stefano Neri & Massimiliano Pisani - 659 Housing market spillovers: Evidence from an estimated DSGE model
by Matteo Iacoviello & Stefano Neri - 658 R&D and market structure in a horizontal differentiation framework
by Davide Fantino - 657 Excess money growth and inflation dynamics
by Barbara Roffia & Andrea Zaghini - 656 The effetcs of fiscal policy in Italy: Evidence from a VAR model
by Raffaela Giordano & Sandro Momigliano & Stefano Neri & Roberto Perotti - 655 What�s behind �inflation perceptions�? A survey-based analysis of Italian consumers
by Paolo Del Giovane & Silvia Fabiani & Roberto Sabbatini - 654 The cyclical response of fiscal policies in the euro area. Why do results of empirical research differ so strongly?
by Roberto Golinelli & Sandro Momigliano
2007
- 653 Securitisation and the bank lending channel
by Yener Altunbas & Leonardo Gambacorta & David Marqu�s - 652 The general equilibrium effects of fiscal policy: estimates for the euro area
by Lorenzo Forni & Libero Monteforte & Luca Sessa - 651 Revisiting poverty and welfare dominance
by Gian Maria Tomat - 650 Modelling bank lending in the euro area: A non-linear approach
by Leonardo Gambacorta & Carlotta Rossi - 649 Bank profitability and taxation
by Ugo Albertazzi & Leonardo Gambacorta - 648 Balance-sheet ratios and stock returns: An analysis for Italian banks
by Angela Romagnoli - 647 Optimal monetary policy under low trend inflation
by Guido Ascari & Tiziano Ropele - 646 Does the underground economy hold back financial deepening? Evidence from the Italian credit market
by Giorgio Gobbi & Roberta Zizza - 645 Costs and benefits of creditor concentration: An empirical approach
by Amanda Carmignani & Massimo Omiccioli - 644 Bank consolidation and lending policies to small business: Differences across geographical areas
by Enrico Beretta & Silvia Del Prete - 643 The producer service sector in Italy: Long-term growth and its local determinants
by Valter Di Giacinto & Giacinto Micucci - 642 Detecting long memory co-movements in macroeconomic time series
by Gianluca Moretti - 641 Assessing financial contagion in the interbank market: Maximum entropy versus observed interbank lending patterns
by Paolo Emilio Mistrulli - 640 The financing of small innovative firms: The Italian case
by Silvia Magri - 639 The generation gap: relative earnings of young and old workers in Italy
by Alfonso Rosolia & Roberto Torrini - 638 Comparative advantage patterns and domestic determinants in emerging countries: an analysis with a focus on technology
by Daniela Marconi & Valeria Rolli - 637 Emerging Markets Spreads and Global Financial Conditions
by Alessio Ciarlone & Paolo Piselli & Giorgio Trebeschi - 636 The Weighting Process in the SHIW
by Ivan Faiella & Romina Gambacorta - 635 Openess to trade and industry cost dispersion: Evidence from a panel of Italian firms
by Massimo Del Gatto & Gianmarco I.P. Ottaviano & Marcello Pagnini - 634 Export prices, product quality and firms' characteristic: An analisys on a sample of Italian firms
by Matteo Bugamelli - 633 The Reliability of EMU FIscal Indicators: Risks and Safeguards
by Fabrizio Balassone & Daniele Franco & Stefania Zotteri - 632 Oil supply news in a VAR: Information from financial markets
by Alessio Anzuini & Patrizio Pagano & Massimiliano Pisani - 631 New Eurocoin: Tracking Economic Growth in Real Time
by Filippo Altissimo & Riccardo Cristadoro & Mario Forni & Marco Lippi & Giovanni Veronese - 630 Endogenous growth and trade liberalization between asymmetric countries
by Daniela Marconi - 629 Monetary Policy Shocks in the Euro Area and Global Liquidity Spillovers
by Joao Sousa & Andrea Zaghini - 628 Changes in transport and non transport costs: local vs. global impacts in a spatial network
by Kristian Behrens & Andrea R. Lamorgese & Gianmarco I.P. Ottaviano & Takatoshi Tabuchi - 627 The sectoral distribution of money supply in the Euro area
by Giuseppe Ferrero & Andrea Nobili & Patrizia Passiglia - 626 University drop-out. The case of Italy
by Federico Cingano & Piero Cipollone - 625 The forgone gains of incomplete portfolios
by Monica Paiella - 624 A new measure of local endowments of transport infrastructures
by Giovanna Messina - 623 Measurement of income distribution in supranational entities: the case of the European Union
by Andrea Brandolini - 622 Employment, innovation, and productivity: Evidence from italian microdata
by Bronwyn H. Hall & Francesca Lotti & Jacques Mairesse - 621 Why demand uncertainty curbs investment: Evidence froma a panel of Italian manufacturing firms
by Elena Bontempi & Roberto Golinelli & Giuseppe Parigi - 620 Intertemporal Consumption Choices, Transaction Costs and Limited Participation in Financial Markets: Reconciling Data and Theory
by Orazio P. Attanasio & Monica Paiella - 619 Memory for prices and the euro cash changeover: An analysis for cinema prices in Italy
by Vincenzo Cestari & Paolo Del Giovane & Clelia Rossi-Arnaud - 618 The opinion of Italians on tax evasion
by Cannari Luigi & D'Alessio Giovanni - 617 A policy-sensible core-inflation measure for the euro area
by Stefano Siviero & Giovanni Veronese - 616 Entry barriers in Italian retail trade
by Fabiano Schivardi & Eliana Viviano - 615 Macroeconomic uncertainty and banks' lending decisions: The case of Italy
by Mario Quagliariello - 614 Testing for trend
by Fabio Busetti & Andrew Harvey - 613 Outward FDI and local employment growth in Italy
by Stefano Federico & Gaetano Alfredo Minerva - 612 A neural network architecture for data editing in the Bank of Italy�s business surveys
by Claudia Biancotti & Leandro D'Aurizio & Raffaele Tartaglia-Polcini
2006
- 611 The geographical polarization of per capita output: an analysis of the Italian case based on provincial data
by Stefano Iezzi - 610 The under-reporting of financial wealth in the Survey on Household income and Wealth
by Leandro D�Aurizio & Ivan Faiella & Stefano Iezzi & Andrea Neri - 609 Real-time determinants of fiscal policies in the euro area: Fiscal rules, cyclical conditions and elections
by Roberto Golinelli & Sandro Momigliano - 608 Merge and Compete. Strategic incentives for vertical integration
by Filippo Vergara Caffarelli - 607 What does a technology shock do? A VAR analysis with model-based sign restrictions
by Luca Dedola & Stefano Neri - 606 The transmission of monetary policy shocks from the US to the euro area
by Andrea Nobili & Stefano Neri - 605 Job Search in Thick Markets: Evidence from Italy
by Sabrina Di Addario - 604 The Political Economy of Investor Protection
by Pietro Tommasino - 603 A Dual-Regime Utility Model for Poverty Analysis
by Claudia Biancotti - 602 Scenario Based Principal Component Value-at-Risk: an Application to Italian Banks' Interest Rate Risk Exposure
by Roberta Fiori & Simonetta Iannotti - 601 Bank profitability and the business cycle
by Ugo Albertazzi & Leonardo Gambacorta - 600 People I Know: Workplace Networks and Job Search Outcomes
by Federico Cingano & Alfonso Rosolia - 599 Banks� Riskiness Over the Business Cicle: a Panel Analysis on Italian Intermediaries
by Mario Quagliariello - 598 Overoptimism and Lender Liability in the Consumer Credit Market
by Elisabetta Iossa & Giuliana Palumbo - 597 Determinants of long-run regional productivity: the role of R&D, human capital and public infrastructure
by Raffaello Bronzini & Paolo Piselli - 596 Social Interactions in High School: Lessons from an Earthquake
by Piero Cipollone & Alfonso Rosolia - 595 Revisiting the empirical evidence on firms� money demand
by Francesca Lotti & Juri Marcucci - 594 Entry regulations and labor market outcomes: evidence from the Italian retail trade sector
by Eliana Viviano - 593 Do market-based indicators anticipate rating agencies? Evidence for international banks
by Antonio Di Cesare - 592 The internationalization of Italian production and industrial districts: an analysis of direct investment abroad
by Stefano Federico - 591 The Legacy of History for Economic Development: The Case of Putnam's Social Capital
by Guido de Blasio & Giorgio Nuzzo - 590 Imperfect knowledge, adaptive learning and the bias against activist monetary policies
by Alberto Locarno - 589 An empirical analysis of national differences in the retail bank interest rates of the euro area
by Massimiliano Affinito & Fabio Farabullini - 588 A Multinomial Approach to Early Warning Systems for Debt Crises
by Alessio Ciarlone & Giorgio Trebeschi - 587 Efficiency vs. agency motivations for bank takeovers: some empirical evidence
by Alessio De Vincenzo & Claudio Doria & Carmelo Salleo - 586 The CAPM and the risk appetite index; theoretical differences and empirical similarities
by Marcello Pericoli & Massimo Sbracia - 585 Risk-Adjusted Forecasts of Oil Prices
by Patrizio Pagano & Massimiliano Pisani - 584 The Causes and Consequences of Venture Capital Financing. An Analysis based on a Sample of Italian Firms
by Diana Marina Del COlle, & Paolo Finaldi Russo & Andrea Generale - 583 The value of flexible contracts; evidence from an italian panel of industrial firms
by cipollone piero & Anita Guelfi - 582 The effect of investment incentives: an assessment of Law 488/1992
by Raffaello Bronzini & Guido de Blasio - 581 Did inflation really soar after the euro cash changeover? Indirect evidence from ATM withdrawals
by Paolo Angelini & Francesco Lippi - 580 Canonical term-structure models with observable factors and the dynamics of bond risk premiums
by Marcello Pericoli & Marco Taboga - 579 Is foreign exchange intervention effective? Some micro-analytical evidence from the Czech Republic
by Antonio Scalia - 578 Productivity and foreign competition
by Matteo Bugamelli & Alfonso Rosolia - 577 Skill dispersion and firm productivity; an analysis with employer-employee matched data
by Susanna Iranzo & Fabiano Schivardi & Elisa Tosetti - 576 Stock market fluctuations and money demand in Italy, 1913-2003
by Massimo Caruso - 575 Convergences of prices and rates of inflation
by Fabio Busetti & Silvia Fabiani & Andrew Harvey - 574 Debt maturity of Italian firms
by Silvia Magri - 573 Le rimesse dei lavoratori emigrati e le crisi di conto corrente
by Matteo Bugamelli & Francesco Patern� - 572 Incentives in universal banks
by Ugo Albertazzi - 571 Production or consumption? Disentangling the skill-agglomeration connection
by Guido de Blasio - 570 Is there an urban wage premium in Italy?
by Sabrina Di Addario & Eleonora Patacchini - 569 The private and social return to schooling in Italy
by Antonio Ciccone & Federico Cingano & Piero Cipollone
2005
- 568 Evolution of trade patterns in the new EU member states
by Andrea Zaghini - 567 A quantitative analysis of the mechanisms for adjustment of the external deficit of the United States
by Francesco Paterno' - 566 Are there asymmetries in the response of bank interest rates monetary shocks?
by Leonardo Gambacorta & Simonetta Iannotti - 565 Financial wealth in the financial accounts and in the Survey of Household Income and Wealth
by Riccardo Bonci & Grazia Marchese & Andrea Neri - 564 Technology transfer and economic growth in developing countries: an econometric analysis
by Valerio Crispolti & Daniela Marconi - 563 The price strategies of export-oriented Italian firms
by Matteo Bugamelli & Roberto Tedeschi - 562 Banks� participation in the Eurosystem auctions and money market integration
by Giuseppe Bruno & Ernesto Maurizio Ordine & Antonio Scalia - 561 Testing the 'home market effect' in a multi-country world: A theory-based approach
by Kristian Behrens & Andrea R. Lamorgese & Gianmarco I.P. Ottaviano & Takatoshi Tabuchi - 560 Regulation, formal and informal enforcement and the development of the household loan market. Lessons from Italy
by Luca Casolaro & Leonardo Gambacorta & Luigi Guiso - 559 Caratteristiche e mutamenti della specializzazione delle esportazioni italiane
by Paola Monti - 558 International specialization models in Latin America: the case of Argentina
by Paola Caselli & Andrea Zaghini - 557 Distance, bank heterogeneity and entry in local banking markets
by Felici Roberto & Pagnini Marcello - 556 Consumer Price Setting In Italy
by Silvia Fabiani & Angela Gattulli & Roberto Sabbatini & Giovanni Veronese - 555 Do capital gains affect consumption? Estimates of wealth effects from Italian households� behavior
by Luigi Guiso & Monica Paiella & Ignazio Visco - 554 Where do human capital externalities end up?
by Alberto Dalmazzo & Guido de Blasio - 553 Trade Credit as Collateral
by Massimo Omiccioli - 552 Hiring incentives and labour force participation in Italy
by Piero Cipollone & Corrado Di Maria & Anita Guelfi - 551 The profit share and return on capital in Italy: a tentative interpretation
by Roberto Torrini - 550 Proprieta', controllo e trasferimenti nelle imprese italiane. Cosa e' cambiato nel decennio 1993-2003?
by Silvia Giacomelli & Sandro Trento - 549 Firm Size Distribution: Do Financial Constraints Explain It All? Evidence From Survey Data
by Paolo Angelini & Andrea Generale - 548 The Basel Committee Approach To Risk-Weights And External Ratings: What Do We Learn From Bond Spreads?
by Andrea Resti & Andrea Sironi - 547 Prices, Product Differentiation And Quality Measurement: A Comparison Between Hedonic And Matched Model Methods
by Gian Maria Tomat - 546 The Role Of Risk Aversion In Predicting Individual Behavior
by Luigi Guiso & Monica Paiella - 545 Can option smiles forecast changes in interest rates? An application to the US, the UK and the euro area
by Marcello Pericoli - 544 Forecasting Output Growth And Inflation In The Euro Area: Are Financial Spreads Useful?
by Andrea Nobili - 543 Maxmin Portfolio Choice
by Marco Taboga - 542 How Do Banks Set Interest Rates?
by Leonardo Gambacorta - 541 L'introduzione dell'euro e le politiche di prezzo: analisi di un campione di dati individuali
by Eugenio Gaiotti & Francesco Lippi
2004
- 540 Cyclical sensitivity of fiscal policies based on real-time data
by Lorenzo Forni & Sandro Momigliano - 539 La crescita dell'economia italiana negli anni novanta tra ritardo tecnologico e rallentamento della produttivit�
by Antonio Bassanetti & Massimiliano Iommi & Cecilia Jona-Lasinio & Francesco Zollino - 538 An Empirical Micro Matching Model with an Application to Italy and Spain
by Franco Peracchi & Eliana Viviano - 537 Monetary Policy Impulses, Local Output and the Transmission Mechanism
by Massimo Caruso - 536 An empirical investigation of the relationship between inequality and growth
by Patrizio Pagano - 535 Entry decisions and adverse selection: an empirical analysis of a local credit markets
by Giorgio Gobbi & Francesca Lotti - 534 Aggregation bias in macro models: does it matter foir the euro area?
by Libero Monteforte - 533 A micro simulation model of demographic development and households' economic behavior in Italy
by Albert Ando & Sergio Nicoletti-Altimari - 532 L�introduzione dell�euro e la divergenza tra infl azione rilevata e percepita
by Paolo Del Giovane & Roberto Sabbatini - 531 Cyclical asymmetry in fiscal policy, debt accumulation and the Treaty of Maastricht
by Fabrizio Balassone & Maura Francese - 530 Household Wealth Distribution in Italy in the 1990s
by Andrea Brandolini & Luigi Cannari & Giovanni D'Alessio & Ivan Faiella - 529 Does the ILO Definition Capture All Unemployment?
by Andrea Brandolini & Piero Cipollone & Eliana Viviano - 528 The role of guarantees in bank lending
by Alberto Franco Pozzolo - 527 Endogenous growth in open economies: a surveys
by Alberto Franco Pozzolo - 526 Foreign direct investment and agglomeration: evidence from Italy
by Raffaello Bronzini - 525 Is there a cost channel of monetary policy transmission? An investigation into the pricing behaviour of 2,000 firms
by Eugenio Gaiotti & Alessandro Secchi - 524 Pricing behavior and the comovement of productivity and labor: evidence from firm-level data
by Domenico J. Marchetti & Francesco Nucci - 523 The short-term impact of government budgets on prices; evidence from macroeconometric models
by Jerome Henry & Pablo Hernandez de Cos & Sandro Momigliano - 522 Tecnologia e dinamica dei vantaggi comparati: un confronto fra quattro regioni italiane
by Chiara Bentivogli & Fabio Quintiliani - 521 Do mergers improve information? Evidence from the loan market
by Fabio Panetta & Fabiano Schivardi & Matthew Shum - 520 Errori di misura nell�indagine sui bilanci delle famiglie italiane
by Claudia Biancotti & Giovanni D'Alessio & Andrea Neri - 519 Un modello dei conti economici per il sistema bancario italiano
by Luca Casolaro & Leonardo Gambacorta - 518 Perch� le imprese ricorrono al factoring? Il caso dell'Italia
by Michele Benvenuti & Marco Gallo - 517 The modelling of operational risk: experience with the analysis of the data collected by the Basel Committee
by Marco Moscadelli - 516 Business cycle non-linearities and productivity shocks
by Paolo Piselli - 515 The pricing behaviour of Italian firms: new survey evidence on price stickiness
by Silvia Fabiani & Angela Gattulli & Roberto Sabbatini - 514 Financial structure and the transmission of monetary shocks: preliminary evidence for the Czech Republic, Hungary and Poland
by Alessio Anzuini & Aviram Levy - 513 Monetary policy and stock prices: theory and evidence
by Stefano Neri - 512 Monetary union with voluntary participation
by William Fuchs & Francesco Lippi - 511 Information variables for monetary policy in a small structural model of the euro area
by Francesco Lippi & Stefano Neri - 510 Does wealth affect consumption? Evidence for Italy
by Monica Paiella - 509 Bad Loans and Entry into Local Credit Markets
by Marcello Bofondi & Giorgio Gobbi - 508 The interaction between face-to-face and electronic delivery: the case of the Italian banking industry
by Emilia Bonaccorsi di Patti & Giorgio Gobbi & Paolo Emilio Mistrulli - 507 Estimating state price densities by Hermite polynomials: theory and application to the Italian derivatives market
by Paolo Guasoni - 506 Estimating expectations of shocks using option prices
by Antonio Di Cesare - 505 Social mobility and endogenous cycles in redistribution
by Francesco Zollino - 504 Firm size distribution and employment protection legislation in Italy
by Fabiano Schivardi & Roberto Torrini - 503 Il pilastro privato del sistema previdenziale. Il caso del Regno Unito
by Francesco Spadafora - 502 Optimal Duplication of Effort in Advocacy Systems
by Giuliana Palumbo - 501 La ricchezza delle famiglie italiane e americane
by Ivan faiella & Andrea Neri - 500 Turning-point indicators from business surveys: real-time detection for the euro area and its major member countries
by Alberto Baffigi & Antonio Bassanetti - 499 Monetary Policy and the Transition to Rational Expectations
by Giuseppe Ferrero - 498 Does trade credit substitute for bank credit?
by Guido De Blasio - 497 Funzionamento della giustizia civile e struttura finanziaria delle imprese: il ruolo del credito commerciale
by Amanda Carmignani - 496 Il debito commerciale in Italia: quanto contano le motivazioni finanziarie?
by Paolo Finaldi Russo & Luigi Leva - 495 Condizioni del credito commerciale e differenziazione della clientela
by Luigi Cannari & Salvatore Chiri & Massimo Omiccioli - 494 Il credito commerciale: problemi e teorie
by Massimo Omiccioli - 493 Endogenous monetary policy with unobserved potential output
by Alex Cukierman & Francesco Lippi - 492 Centralization of wage bargaining and the unemployment rate: revisiting the hump-shape hypothesis
by Lorenzo Forni - 491 Investire in Italia? Risultati di una recente indagine empirica
by Marco Committeri - 490 La bilancia dei pagamenti di parte corrente Nord-Sud (1998-2000)
by Luigi Cannari & Salvatore Chiri - 489 Information technology and productivity changes in the Italian banking industry
by Luca Casolaro & Giorgio Gobbi - 488 Pitfalls of monetary policy under incomplete information: imprecise indicators and real indeterminacy
by Eugenio Gaiotti - 487 A Polarization of Polarization? The Distribution of Inequality 1970-1996
by Claudia Biancotti
2003
- 486 Bank Capital and Lending Behaviour: Empirical Evidence for Italy
by Leonardo Gambacorta & Paolo Emilio Mistrulli - 485 L�utilizzo degli indicatori compositi nell'analisi congiunturale territoriale: un'applicazione all'economia del Veneto
by Paolo Chiades & Massimo Gallo & Andrea Venturini - 484 What is this thing called confidence? A comparative analysis of consumer confidence indices in eight major countries
by Roberto Golinelli & Giuseppe Parigi - 483 Risk Aversion, Wealth and Background Risk
by Luigi Guiso & Monica Paiella - 482 La distribuzione del reddito e della ricchezza nelle regioni italiane
by Luigi Cannari & Giovanni D'Alessio - 481 Bank competition and firm creation
by Emilia Bonaccorsi Di Patti & Giovanni Dell'Ariccia - 480 Cost efficiency in the retail payment networks: first evidence from the Italian credit card system
by Guerino Ardizzi - 479 The effects of bank mergers on credit availability: evidence from corporate data
by Emilia Bonaccorsi di Patti & Giorgio Gobbi - 478 Dealing with unexpected shocks to the budget
by Elena Gennari & Raffaela Giordano & Sandro Momigliano - 477 La composizione familiare e l�imposta sul reddito delle persone fisiche: un�analisi degli effetti redistributivi e alcune considerazioni sul benessere sociale
by Maria Rosaria Marino & Chiara Rapallini - 476 Tests of seasonal integration and cointegration in multivariate unobserved component models
by Fabio Busetti