Content
2015, Issue 1
- 15_1_2 Does Financial Education at School work? Evidence from Italy
by Angela Romagnoli & Maurizio Trifilidis - 15_1_3 The reform of the capital of the Bank of Italy: accounting, fiscal and vigilance effects on the shareholder banks
by Guido Abate
2014, Issue 5-6
- 14_5-6_2 Household Wealth in the Main OECD Countries
by Riccardo De Bonis & Daniele Fano & Teresa Sbano - 14_5-6_3 The Impact of the Sovereign Debt Crisis on Bank Lending Rates in the Euro Area
by Stefano Neri - 14_5-6_4 Disclosure and customer complaints handling: evidences from a sample of Italian banks
by Elisabetta D'Apolito & Stefania Sylos Labini
2014, Issue 2-3
- 14_2-3_4 Housing Prices and Monetary Policy
by Natasha Rovo
2014, Issue 1
- 14_1_2 Mini-bonds as debt instruments for small and medium-sized enterprises: regulation, market analysis and issuance strategies
by Francesco Baldi & Gerardo Murano - 14_1_3 Monetary Policy Transmission on the Banking Sector in the Euro Area – Abstract
by Giorgio Di Giorgio & Guido Traficante
2013, Issue 4
- 13_4_1 Privatization and Performance: does the Institutional Development matter?
by Sungho Choi & Nada Kobeissi - 13_4_2 Composizione del board ed efficienza delle banche: un'analisi internazionale
by Gilda Mazzarelli & Stefano Dell'Atti
2013, Issue 3
- 13_3_1 Qual e' l'impatto degli investimenti di Private Equity sulle performance economiche e sulla crescita delle imprese in un'economia locale?
by Giusy Chesini & Elisa Giaretta - 13_3_2 Un'analisi comparata delle regole dei principali Paesi Europei in materia di Fondi comuni di investimento
by C. Brescia Morra & L. Furgiuele & L. Spogler
2013, Issue 1-2
- 13_1-2_1 Movements and co-movements across the European asset classes: portfolio allocations and policy implications
by Michael Donadelli & Lorenzo Prosperi & Federica Romei & Federico Silvestri - 13_1-2_2 Una proposta di revisione dei questionari per la profilatura della cientela
by Enrico Maria Cervellati & Filippo Parrella & Marco Spallone
2012, Issue 6
2012, Issue 2-3
- 12_2-3_2 Evaluating the impact of shock in the supply of overnight unsecured money market funds on the TARGET2-Banca d'Italia functioning: a simulation approach
by Luca Arciero - 12_2-3_3 SMEs and the challenge to go public
by Marianna Caccavaio & Jacopo Carmassi & Giorgio Di Giorgio & Marco Spallone
2012, Issue 1
- 12_1_2 La pressione fiscale gravante sul sistema bancario: questioni metodologiche ed evidenze empiriche
by Giacomo Ricotti & Vittorio Pinelli & Giovanni Santini & Laura Santuz & Ernesto Zangari & Stefania Zotteri
2011, Issue 5-6
- 11_5_1 Soft information and loan supply crisis. Evidence from the credit files of a large bank
by Francesca Bartoli & Giovanni Ferri & Pierluigi Murro & Zeno Rotondi - 11_5_3 The macroeconomic impact of Basel III on the Italian economy
by Alberto Locarno - 11_5_4 I debiti sovrani nell'area Euro: implicazioni per la gestione e la distribuzione dei prodotti di risparmio
by Nicola Borri & Filippo Russo
2011, Issue 4
- 11_4_2 Servizi di pagamento, prelievo di contante e stima del sommerso: i risultati di un'indagine sul caso italiano
by Guerino Ardizzi & Carmelo Petraglia & Massimiliano Piacenza & Gilberto Turati
2011, Issue 3
- 11_3_2 A multiperiod model of competition in retail banking
by Barbara Chizzolini
2010, Issue 4
- 10_4_2 Lending technologies in Italy: an example of hardening soft information?
by Pierluigi Murro