Questioni di Economia e Finanza (Occasional Papers)
From Bank of Italy, Economic Research and International Relations Area Contact information at EDIRC. Bibliographic data for series maintained by (). Access Statistics for this working paper series.
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- 635: Infrastructure gaps in Italy: a case-by-case measurement

- Mauro Bucci, Elena Gennari, Giorgio Ivaldi, Giovanna Messina and Luca Moller
- 634: Main challenges and prospects for the European banking sector: a critical review of the ongoing debate

- Salvatore Cardillo, Raffaele Gallo and Francesco Guarino
- 633: The impact of complex financial instruments on banks’ vulnerability: empirical evidence on SSM banks

- Tommaso Perez, Francesco Potente, Andrea Carboni, Alberto Di Iorio and Jacopo Raponi
- 632: The market notices published by the Italian Stock Exchange: a machine learning approach for the selection of the relevant ones

- Marta Bernardini, Paolo Massaro, Francesca Pepe and Francesco Tocco
- 631: Application of classification algorithms for the assessment of confirmation to quality remarks

- Fabio Zambuto, Simona Arcuti, Roberto Sabatini and Daniele Zambuto
- 630: The Economic Effects of Firm-Level Uncertainty: Evidence Using Subjective Expectations

- Giuseppe Fiori and Filippo Scoccianti
- 629: Principled data access: building public-private data partnerships for better official statistics

- Claudia Biancotti, Oscar Borgogno and Giovanni Veronese
- 628: Interchange Fee Regulation and card payments: a cross-country analysis

- Guerino Ardizzi, Diego Scalise and Gabriele Sene
- 627: Living on my own: the impact of the Covid-19 pandemic on housing preferences

- Elisa Guglielminetti, Michele Loberto, Giordano Zevi and Roberta Zizza
- 626: Measuring the impact of a bank failure on the real economy. An EU-wide analytical framework

- Valerio Vacca, Fabian Bichlmeier, Paolo Biraschi, Natalie Boschi, Antonio J. Bravo Alvarez, Luciano Di Primio, André Ebner, Silvia Hoeretzeder, Elisa Llorente Ballesteros, Claudia Miani, Giacomo Ricci, Raffaele Santioni, Stefan Schellerer and Hanna Westman
- 625: The economics of non-bank financial intermediation: why do we need to fill the regulation gap?

- Maurizio Trapanese
- 624: De-anchored long-term inflation expectations in a low growth, low rate environment

- Guido Bulligan, Francesco Corsello, Stefano Neri and Alex Tagliabracci
- 623: Policy mix during a pandemic crisis: a review of the debate on monetary and fiscal responses and the legacy for the future

- Giuseppe Ferrero, Massimiliano Pisani and Martino Tasso
- 622: An assessment on the potential impact of COVID-19 on the Italian demographic structure

- Giacomo Caracciolo, Salvatore Lo Bello and Dario Pellegrino
- 621: Inflation expectations and the ECB’s perceived inflation objective: novel evidence from firm-level data

- Marco Bottone, Alex Tagliabracci and Giordano Zevi
- 620: Consumption and saving patterns in Italy during Covid-19

- Elisa Guglielminetti and Concetta Rondinelli
- 619: Firms' inflation expectations and pricing strategies during Covid-19

- Marco Bottone, Cristina Conflitti, Marianna Riggi and Alex Tagliabracci
- 617: Methodological issues in the estimation of current account imbalances

- Valerio Della Corte and Claire Giordano
- 616: Firm characteristics and potential output: a growth accounting approach

- Davide Fantino, Sara Formai and Alessandro Mistretta
- 615: Urban public transport in Italy: past, present and future

- Sauro Mocetti and Giacomo Roma
- 614: Households' energy demand and the effects of carbon pricing in Italy

- Ivan Faiella and Luciano Lavecchia
- 613: The macroeconomic impact of infrastructure investment: a review of channels

- Valerio Ercolani
- 612: Inflation expectations in the euro area: indicators, analyses and models used at Banca d’Italia

- Sara Cecchetti, Davide Fantino, Alessandro Notarpietro, Marianna Riggi, Alex Tagliabracci, Andrea Tiseno and Roberta Zizza
- 611: Learning from revisions: a tool for detecting potential errors in banks' balance sheet statistical reporting

- Francesco Cusano, Giuseppe Marinelli and Stefano Piermattei
- 610: Local and global agglomeration patterns in the banking sector: the calm in the mid of a storm

- Valter Di Giacinto and Marcello Pagnini
- 609: Exploiting payments to track Italian economic activity: the experience at Banca d’Italia

- Valentina Aprigliano, Guerino Ardizzi, Alessia Cassetta, Alessandro Cavallero, Simone Emiliozzi, Alessandro Gambini, Nazzareno Renzi and Roberta Zizza
- 608: Central banks, climate risks and sustainable finance

- Enrico Bernardini, Ivan Faiella, Luciano Lavecchia, Alessandro Mistretta and Filippo Natoli
- 607: What do Italians think about tax evasion?

- Giovanni D’Alessio
- 606: The impact of the COVID-19 shock on labour income inequality: evidence from Italy

- Francesca Carta and Marta De Philippis
- 605: Covid-19 and official statistics: a wakeup call?

- Claudia Biancotti, Alfonso Rosolia, Giovanni Veronese, Robert Kirchner and Francois Mouriaux
- 604: TLAC-eligible debt: who holds it? A view from the euro area

- Carmela Aurora Attinà and Pierluigi Bologna
- 603: Changes in the employment structure and in job quality in Italy: a national and regional analysis

- Luciana Aimone Gigio,, Silvia Camussi and Vincenzo Maccarrone
- 602: CIG: historical evolution, features and limitations

- Salvatore Lo Bello
- 601: Return of the NPLs to the bright side: which Unlikely to Pay firms are more likely to pay?

- Massimiliano Affinito and Giorgio Meucci
- 600: The professional associations in Italy: the measurement and effects of regulation

- Sauro Mocetti and Giacomo Roma
- 599: Natural unemployment and activity rates: flow-based determinants and implications for price dynamics

- Francesco D'Amuri, Marta De Philippis, Elisa Guglielminetti and Salvatore Lo Bello
- 598: Will multilateral development banks weather the Covid-19 crisis?

- Riccardo Settimo and Raffaele De Marchi
- 597: The (little) reallocation potential of workers most hit by the Covid-19 crisis

- Gaetano Basso, Adele Grompone and Francesca Modena
- 596: Forecasting corporate capital accumulation in Italy: the role of survey-based information

- Claire Giordano, Marco Marinucci and Andrea Silvestrini
- 595: An OEE index for the Bank of Italy’s banknote production plant

- Michele Manna
- 594: The EU bank insolvency framework: could less be more?

- Giovanni Majnoni, Gabriele Bernardini, Andreas Dal Santo and Maurizio Trapanese
- 593: Alternative measures of underlying inflation in the euro area

- Cristina Conflitti
- 592: Thus spoke the Bank of Italy’s Governors: an analysis of the language corpus of the Concluding Remarks, 1946-2018

- Valerio Astuti, Riccardo De Bonis, Sergio Marroni and Alessandro Vinci
- 591: A game changer in payment habits: evidence from daily data during a pandemic

- Guerino Ardizzi, Andrea Nobili and Giorgia Rocco
- 590: Firm undercapitalization in Italy: business crisis and survival before and after COVID-19

- Tommaso Orlando and Giacomo Rodano
- 589: Capital flows during the pandemic: lessons for a more resilient international financial architecture

- Fernando Eguren Martin, Mark Joy, Claudia Maurini, Alessandro Moro, Valerio Nispi Landi, Alessandro Schiavone and Carlos Eduardo van Hombeeck
- 588: Italian people’s financial literacy: the results of the Bank of Italy’s 2020 survey

- Giovanni D’Alessio, Riccardo De Bonis, Andrea Neri and Cristiana Rampazzi
- 587: Firms’ leverage across business cycles

- Antonio De Socio
- 586: The In-house credit assessment system of Banca d'Italia

- Filippo Giovannelli, Alessandra Iannamorelli, Aviram Levy and Marco Orlandi
- 585: The regulatory cycle in banking: what lessons from the U.S. experience? (from the Dodd-Frank Act to Covid-19)

- Maurizio Trapanese
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