Details about Michele Bagella
Access statistics for papers by Michele Bagella.
Last updated 2017-03-06. Update your information in the RePEc Author Service.
Short-id: pba336
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Working Papers
2008
- Money laundering in a two sector model: using theory for measurement
CEIS Research Paper, Tor Vergata University, CEIS View citations (19)
See also Journal Article Money laundering in a two-sector model: using theory for measurement, European Journal of Law and Economics, Springer (2008) View citations (20) (2008)
2004
- The Anticipated and Concurring Effects of the EMU
CEIS Research Paper, Tor Vergata University, CEIS View citations (14)
2003
- Observed and 'Fundamental' Price Earning Ratios: A Comparative Analysis of High-tech Stock Evaluation in the US and in Europe
CEIS Research Paper, Tor Vergata University, CEIS View citations (4)
See also Journal Article Observed and "fundamental" price-earning ratios: A comparative analysis of high-tech stock evaluation in the US and in Europe, Journal of International Money and Finance, Elsevier (2005) View citations (2) (2005)
Journal Articles
2015
- Note sulla evoluzione della moneta nell'economia contemporanea
Analisi Giuridica dell'Economia, 2015, (1), 7-16
2011
- Defining Green Finance and Green intermediaries
BANCARIA, 2011, 10, 14-24
2010
- Estimating money laundering in Italy, Eurozone and North America
BANCARIA, 2010, 11, 15-22
2009
- Financial markets and the post-crisis scenario
International Review of Economics, 2009, 56, (3), 215-225
- Money Laundering in a Microfounded Dynamic Model: Simulations for the U.S. and the EU-15 Economies
Review of Law & Economics, 2009, 5, (2), 879-902 View citations (16)
- New rules for a global financial system
BANCARIA, 2009, 7, 73-80
2008
- Money laundering in a two-sector model: using theory for measurement
European Journal of Law and Economics, 2008, 26, (3), 341-359 View citations (20)
See also Working Paper Money laundering in a two sector model: using theory for measurement, CEIS Research Paper (2008) View citations (19) (2008)
2007
- Earning Forecast Error in US and European Stock Markets
The European Journal of Finance, 2007, 13, (2), 105-122 View citations (1)
- Market vs. analysts reaction: the effect of aggregate and firm-specific news
Applied Financial Economics, 2007, 17, (4), 299-312 View citations (3)
2006
- Il dibattito sul futuro del sistema finanziario italiano alla Assemblea Costituente
Rivista di Politica Economica, 2006, 96, (4), 51-81
- Real effective exchange rate volatility and growth: A framework to measure advantages of flexibility vs. costs of volatility
Journal of Banking & Finance, 2006, 30, (4), 1149-1169 View citations (26)
2005
- I servizi di revisione contabile in US e EU. Convergenza delle regole e asimmetria di impatto
Analisi Giuridica dell'Economia, 2005, (1), 125-152
- Note sulla produzione ed il fianziamento dei beni semipubblici: finanza di progetto e paternariato pubblico-privato come strumenti di politica economica
ECONOMIA E DIRITTO DEL TERZIARIO, 2005, 2005/1, (1)
- Observed and "fundamental" price-earning ratios: A comparative analysis of high-tech stock evaluation in the US and in Europe
Journal of International Money and Finance, 2005, 24, (4), 549-581 View citations (2)
See also Working Paper Observed and 'Fundamental' Price Earning Ratios: A Comparative Analysis of High-tech Stock Evaluation in the US and in Europe, CEIS Research Paper (2003) View citations (4) (2003)
2004
- Investment and Export Subsidies in Italy: Who Gets Them and What Is Their Impact on Investment and Efficiency
Rivista di Politica Economica, 2004, 94, (2), 61-102 View citations (4)
- The anticipated and concurring effects of the EMU: exchange rate volatility, institutions and growth
Journal of International Money and Finance, 2004, 23, (7-8), 1053-1080 View citations (19)
2002
- Introduction
Journal of International Money and Finance, 2002, 21, (6), 695-698
- The "geographical agglomeration-private R&D expenditure" effect: Empirical evidence on Italian data
Economics of Innovation and New Technology, 2002, 11, (3), 233-247 View citations (4)
2001
- Financial constraints on investments: A three-pillar approach
Research in Economics, 2001, 55, (2), 219-254 View citations (16)
- Le banche ed Internet in Italia. Prime esperienze
ECONOMIA E DIRITTO DEL TERZIARIO, 2001, 2001/1, (1)
2000
- "The first shall be last". Size and value strategy premia at the London Stock Exchange
Journal of Banking & Finance, 2000, 24, (6), 893-919 View citations (13)
1999
- Effetto distretto e performance delle esportazioni sotto diversi regimi di cambio: analisi empirica e implicazioni per l'Euro
Politica economica, 1999, (2), 225-252 View citations (2)
- La performance in sala dei film prodotti in Italia nel periodo 1985-96
L'industria, 1999, (3), 417-446
- The Determinants of Motion Picture Box Office Performance: Evidence from Movies Produced in Italy
Journal of Cultural Economics, 1999, 23, (4), 237-256 View citations (40)
1998
- The optimal financing strategy of a high-tech firm: The role of warrants
Journal of Economic Behavior & Organization, 1998, 35, (1), 1-23 View citations (1)
1997
- Asimmetrie informative e vincoli finanziari agli investimenti
L'industria, 1997, (4), 605-630
1996
- Integrazione finanziaria, movimento dei capitali e debito estero: lezioni dall’America Latina - Financial Integration, Capital Movements and External Debt: Lessons from Latin America
Economia Internazionale / International Economics, 1996, 49, (3), 347-372
Chapters
2013
- Using dynamic macroeconomics for estimating money laundering: a simulation for the EU, Italy and the United States
Chapter 17 in Research Handbook on Money Laundering, 2013, pp 207-223
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