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Temi di discussione (Economic working papers)
from Bank of Italy, Economic Research Department Contact information at EDIRC . Series data maintained by ().
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731: The interbank market after August 2007: what has changed, and why?
Paolo Angelini , Andrea Nobili and Maria Cristina Picillo
730: The riskiness of corporate bonds
Marco Taboga
729: Trade-Revealed TFP
Andrea Finicelli , Patrizio Pagano and Massimo Sbracia
728: Ricardian selection
Andrea Finicelli , Patrizio Pagano and Massimo Sbracia
727: Sorting, reputation and entry in a market for experts
Enrico Sette
726: Low skilled immigration and the expansion of private schools
Davide Dottori and I-Ling Shen
725: How are firms' wages and prices linked: survey evidence in Europe
Martine Druant , Silvia Fabiani , Gabor Kezdig , Ana Lamo , Fernando Martins and Roberto Sabbatini
724: Nonlinear dynamics in welfare and the evolution of world inequality
Davide Fiaschi and Marzia Romanelli
723: Comparing forecast accuracy: A Monte Carlo investigation
Fabio Busetti , Juri Marcucci and Giovanni Veronese
722: The effects of privatization and consolidation on bank productivity: comparative evidence from Italy and Germany
Elisabetta Fiorentino , Alessio De Vincenzo , Frank Heid , Alexander Karmann and Michael Koetter
721: Trust and Regulation: Addressing a Cultural Bias
Paolo Pinotti
720: The Announcement of Monetary Policy Intentions
Giuseppe Ferrero and Alessandro Secchi
719: Household wealth and entrepreneurship: is there a link?
Silvia Magri
718: Innovation and productivity in SMEs. Empirical evidence for Italy
Bronwyn H Hall , Francesca Lotti and Jacques MAIRESSE
717: When the highest bidder loses the auction: theory and evidence from public procurement
Francesco Decarolis
716: The euro and firm restructuring
Matteo Bugamelli , Fabiano Schivardi and Roberta Zizza
715: Firm heterogeneity and comparative advantage: the response of French firms to Turkey's entry in the European Customs Union
Ines Buono
714: The retail activity of foreign banks in Italy: effects on credit supply to households and firms
Luigi Infante and Paola Rossi
713: Composite indicators for monetary analysis
Andrea Nobili
712: Bank risk and monetary policy
Yener Altunbas , Leonardo Gambacorta and David Marqués-Ibáñez (David Marqués Ibañez )
711: The topology of the interbank market: developments in Italy since 1990
Michele Manna and Carmela Iazzetta
710: Gradualism, transparency and the improved operational framework: a look at the overnight volatility transmission
Silvio Colarossi and Andrea Zaghini
709: Politicians at work. The private returns and social costs of political connections
Federico Cingano and Paolo Pinotti
708: Trend inflation, Taylor principle and indeterminacy
Guido Ascari and Tiziano Ropele
707: What determines the size of bank loans in industrialized countries? The role of government debt
Riccardo De Bonis and Massimiliano Stacchini
706: Macroeconomic effects of greater competition in the service sector: the case of Italy
Lorenzo Forni , Andrea Gerali and Massimiliano Pisani
705: The (mis)specification of discrete duration models with unobserved heterogeneity: a Monte Carlo study
Concetta Rondinelli and Cheti Nicoletti
704: Oil and the macroeconomy: a quantitative structural analysis
Francesco Lippi and Andrea Nobili
703: Measuring wealth mobility
Andrea Neri
702: Dropping the books and working off the books
Rita Cappariello and Roberta Zizza
701: On analysing the world distribution of income
Anthony B. Atkinson and Andrea Brandolini
700: What determines debt intolerance? The role of political and monetary institutions
Raffaela Giordano and Pietro Tommasino
699: Bond risk premia, macroeconomic fundamentals and the exchange rate
Marcello Pericoli and Marco Taboga
698: Immigration and crime: an empirical analysis
Milo Bianchi , Paolo Buonanno and Paolo Pinotti
697: Technological change and the demand for currency: An analysis with household data
Francesco Lippi and Alessandro Secchi
696: Reservation wages: explaining some puzzling regional patterns
Paolo Sestito and Eliana Viviano
695: Immigrant earnings in the Italian labour market
Antonio Accetturo and Luigi Infante
694: Tax revenue and the macroeconomic framework in Italy
Alberto Locarno and Alessandra Staderini
693: Competing influence
Enrico Sette
692: Investors' risk attitude and risky behavior: a Bayesian approach with imperfect information
Stefano Iezzi
691: Educational choices and the selection process before and after compulsory schooling
Sauro Mocetti
690: Nonlinearities in the dynamics of the euro area demand for M1
Alessandro Calza and Andrea Zaghini
689: A beta based framework for (lower) bond risk premia
Stefano Nobili and Gerardo Palazzo
688: Agglomeration and growth: the effects of commuting costs
Antonio Accetturo
687: The Labor Market Impact of Immigration in Western Germany in the 1990's
Francesco D'Amuri , Gianmarco I.P. Ottaviano and Giovanni Peri
686: Exploring agent-based methods for the analysis of payment systems: a crisis model for StarLogo TNG
Luca Arciero , Claudia Biancotti , Leandro DÂ’Aurizio and Claudio Impenna
685: Temporal aggregation of univariate and multivariate time series models: A survey
Andrea Silvestrini and David Veredas
684: Balancing work and family in Italy: New mothersÂ’ employment decisions after childbirth
Piero Casadio , Martina Lo Conte and Andrea Neri
683: A likelihood-based analysis for relaxing the exclusion restriction in randomized experiments with imperfect compliance
Andrea Mercatanti
682: Vertical specialisation in Europe: Evidence from the import content of exports
Emanuele Breda , Rita Cappariello and Roberta Zizza