Questioni di Economia e Finanza (Occasional Papers)
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- 274: Deflation expectations and Japan's lost decade

- Roberto Piazza
- 273: How the time of interviews affects estimates of income and wealth

- Giovanni D�Alessio and Stefano Iezzi
- 272: Income and wealth sample estimates consistent with macro aggregates: some experiments

- Giovanni D'Alessio and Andrea Neri
- 271: Macroprudential policies: a discussion of the main issues

- Paolo Angelini
- 270: The Eurosystem�s asset purchase programmes for monetary policy purposes

- Pietro Cova and Giuseppe Ferrero
- 269: First-time corporate bond issuers in Italy

- Matteo Accornero, Paolo Finaldi Russo, Giovanni Guazzarotti and Valentina Nigro
- 268: Is deflation good or bad? Just mind the inflation gap

- Marco Casiraghi and Giuseppe Ferrero
- 267: Italian students� performance in the PISA digital test

- Pasqualino Montanaro and Paolo Sestito
- 266: Estimating the effects of a credit supply restriction: is there a bias in the Bank Lending Survey?

- Andrea Nobili and Andrea Orame
- 265: Inflation surprises and inflation expectations in the euro area

- Marcello Miccoli and Stefano Neri
- 264: Bank localism and financial crisis

- Cristina Demma
- 263: The real estate market, the supply chain and credit: the effects of the great recession

- Cristina Fabrizi, Raffaella Pico, Luca Casolaro, Mariano Graziano, Elisabetta Manzoli, Sonia Soncin, Luciano Esposito, Giuseppe Saporito and Tiziana Sodano
- 262: The market for corporate debt private placements

- Nicola Branzoli and Giovanni Guazzarotti
- 261: The Italian Firms� International Activity

- Riccardo Cristadoro and Leandro D�Aurizio
- 260: The internationalization of the Italian productive system

- Riccardo Cristadoro and Stefano Federico
- 259: Tracking banks' systemic importance before and after the crisis

- Piergiorgio Alessandri, Sergio Masciantonio and Andrea Zaghini
- 258: Easier said than done: the divergence between soft and hard data

- Antonio Conti and Concetta Rondinelli
- 257: Medium-term forecasting of euro-area macroeconomic variables with DSGE and BVARX models

- Lorenzo Burlon, Simone Emiliozzi, Alessandro Notarpietro and Massimiliano Pisani
- 256: Assessing potential growth in emerging countries after the global financial crisis

- Enrica Di Stefano and Daniela Marconi
- 255: Financial shocks and the real economy in a nonlinear world: a survey of the theoretical and empirical literature

- Andrea Silvestrini and Andrea Zaghini
- 254: A feasible unemployment-based shock absorber for the Euro Area

- Andrea Brandolini, Francesca Carta and Francesco D'Amuri
- 253: Accounting for total work

- Andrea Brandolini and Eliana Viviano
- 252: Deflationary shocks and de-anchoring of inflation expectations

- Fabio Busetti, Giuseppe Ferrero, Andrea Gerali and Alberto Locarno
- 251: Do firm-bank relationships affect firms' internationalization?

- Riccardo De Bonis, Giovanni Ferri and Zeno Rotondi
- 250: Beyond the acronyms: local property taxation in Italy

- Giovanna Messina and Marco Savegnago
- 249: The World Bank's procurement competition and the Italian construction industry

- Michele Benvenuti, Luca Casolaro, Tindaro Paganini and Umberto Viviani
- 248: Domestic and foreign sales: complements or substitutes?

- Matteo Bugamelli, Eugenio Gaiotti and Eliana Viviano
- 247: How the labour market evaluates Italian universities

- Emanuele Ciani and Vincenzo Mariani
- 246: Regional policies to foster firms' innovation activity

- Francesca Lotti and Maria Lucia Stefani
- 245: Just round the corner? Pros, cons, and implementation issues of a fiscal union for the euro area

- Fabrizio Balassone, Sandro Momigliano, Marzia Romanelli and Pietro Tommasino
- 244: The role of leverage in firm solvency: evidence from bank loans

- Emilia Bonaccorsi di Patti, Alessio D�Ignazio, Marco Gallo and Giacinto Micucci
- 243: Foreign direct investment and multinational firms

- Alessandro Borin and Riccardo Cristadoro
- 242: Inflation, debt and the zero lower bound

- Stefano Neri and Alessandro Notarpietro
- 241: The household credit market after five years of crisis: evidence from the survey on income and wealth

- Silvia Magri and Raffaella Pico
- 240: Energy poverty in Italy

- Ivan Faiella and Luciano Lavecchia
- 239: Geography of internationalization statistics

- Chiara Bentivogli, Giacomo Oddo and Valeria Pellegrini
- 238: Financing long-term investment: ongoing initiatives and the main policy directions

- Giuseppe Grande and Giovanni Guazzarotti
- 237: Surprise! Euro area inflation has fallen

- Marianna Riggi and Fabrizio Venditti
- 236: Exploring flows to tax havens through means of a gravity model: evidence from Italy

- Alessia Cassetta, Claudio Pauselli, Lucia Rizzica and Marco Tonello
- 235: EU bank deleveraging

- Pierluigi Bologna, Marianna Caccavaio and Arianna Miglietta
- 234: Consumer credit during the crisis: evidence from contracts

- Pierpaolo Cristaudo, Silvia Magri, Raffaella Pico and Maria Giovanna Zavallone
- 233: Exploring price and non-price determinants of trade flows in the largest euro-area countries

- Claire Giordano and Francesco Zollino
- 232: Shock transmission through international banks: the Italian case

- Marianna Caccavaio, Luisa Carpinelli, Giuseppe Marinelli and Enrico Sette
- 231: The secular stagnation hypothesis: a review of the debate and some insights

- Patrizio Pagano and Massimo Sbracia
- 230: Foreign direct investment and institutional quality

- Alessandro Borin, Riccardo Cristadoro and Elena Mattevi
- 229: Territories, logistics services and infrastructures: a survey of manufacturers

- Enrico Beretta and Andrea Migliardi
- 228: Euro Area (cross-border?) banking

- Pierluigi Bologna and Marianna Caccavaio
- 227: The macroprudential measures adopted in Europe for the real estate sector

- Daniele Ciani, Wanda Cornacchia and Paolo Garofalo
- 226: Italian trade and direct investment in North Africa

- Riccardo Settimo
- 225: A microsimulation model to evaluate Italian households� financial vulnerability

- Valentina Michelangeli and Mario Pietrunti
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