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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- 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
- 584: Wasted in waste? The benefits of switching from taxes to Pay-as-you-throw fees: the Italian case

- Giovanna Messina and Antonella Tomasi
- 583: What can we learn about mortgage supply from online data?

- Agnese Carella, Federica Ciocchetta, Valentina Michelangeli and Federico Signoretti
- 582: Born in hard times: startups selection and intangible capital during the financial crisis

- Guzman Gonzales-Torres, Francesco Manaresi and Filippo Scoccianti
- 581: The reconstruction of back data for Italy’s balance of payments and international investment position (1970-1999)

- Enrico Tosti
- 580: Autarchy along the distribution

- Silvia Fabiani, Alberto Felettigh and Alfonso Rosolia
- 579: A silent revolution: How central bank statistics have changed in the last 25 years

- Riccardo De Bonis and Matteo Piazza
- 578: Break-even inflation rates: the Italian case

- Alberto Di Iorio and Marco Fanari
- 577: The determinants of service export behaviour in Italian non-financial firms

- Alessandro Moro and Enrico Tosti
- 576: Regional Differences in Retail Payment Habits in Italy

- Guerino Ardizzi, Elisa Bonifacio, Cristina Demma and Laura Painelli
- 575: Bounded rationality and expectations in economics

- Ignazio Visco and Giordano Zevi
- 574: Business continuity in times of distress: debt restructuring agreements and compositions with creditors in Italy

- Alessandro Danovi, Iacopo Donati, Ilaria Forestieri, Tommaso Orlando and Andrea Zorzi
- 573: Connected Italy

- Emanuela Ciapanna and Giacomo Roma
- 572: Robots and employment: evidence from Italy

- Davide Dottori
- 571: Financial spillovers to emerging economies: the role of exchange rates and domestic fundamentals

- Alessio Ciarlone and Daniela Marconi
- 570: From 8,000 to 1,000? Rationalization and governance of Italian Government-owned enterprises

- Sauro Mocetti and Giacomo Roma
- 569: Italian workers at risk during the COVID-19 epidemic

- Teresa Barbieri, Gaetano Basso and Sergio Scicchitano
- 568: Economies of scale revisited: evidence from Italian banks

- Emilia Bonaccorsi di Patti and Federica Ciocchetta
- 567: Financial crises, macroprudential policy and the reliability of credit-to-GDP gaps

- Piergiorgio Alessandri, Pierluigi Bologna and Maddalena Galardo
- 566: Recent export developments in the pharmaceutical sector in Italy and in the Lazio region

- Gloria Allione, Raffaello Bronzini and Claire Giordano
- 565: The Matthew effect and modern finance: on the nexus between wealth inequality, financial development and financial technology

- Jon Frost, Leonardo Gambacorta and Romina Gambacorta
- 564: Indicators of uncertainty: a brief user’s guide

- Luca Rossi
- 563: Job-to-job flows and wage dynamics in France and Italy

- Clémence Berson, Marta De Philippis and Eliana Viviano
- 562: Payment card fraud: global trends and empirical evidence on Internet card fraud in Italy

- Guerino Ardizzi, Elisa Bonifacio and Laura Painelli
- 561: Mind the gap! Machine learning, ESG metrics and sustainable investment

- Ariel Lanza, Enrico Bernardini and Ivan Faiella
- 560: The Italian public sector workforce: recent evolution in the light of the rules on turnover

- Lucia Rizzica
- 559: An introduction to Italian balance sheets: methodology and stylized facts

- Luigi Infante and Francesco Vercelli
- 558: SMEs’ direct and indirect access to public guarantees: an evaluation of regional regulations

- Luciano Lavecchia, Luigi Leva and David Loschiavo
- 557: The carbon footprint of Italian loans

- Ivan Faiella and Luciano Lavecchia
- 556: An update of the Bank of Italy methodology underlying the estimation of price-competitiveness misalignments

- Claire Giordano
- 555: Firms’ listings: what is new? Italy versus the main European stock exchanges

- Paolo Finaldi Russo, Fabio Parlapiano, Daniele Pianeselli and Ilaria Supino
- 554: Credit risk statistical information of the Bank of Italy and the new AnaCredit data collection

- Maria Di Noia and Davide Moretti
- 553: Goods exports and soft export indicators: is a disconnect under way?

- Claire Giordano
- 552: Diversity and inclusion in Italian banks: an empirical analysis of measures to support gender diversity on the board of directors

- Diana Capone
- 551: Repo market and leverage ratio in the euro area

- Luca Baldo, Filippo Pasqualone and Antonio Scalia
- 550: Don’t look back in anger: The use of derivatives in public debt management in Italy

- Mauro Bucci, Ilaria De Angelis and Emilio Vadala'
- 549: FinTech credit: a critical review of empirical research

- Nicola Branzoli and Ilaria Supino
- 548: Institutional sector classifier, a machine learning approach

- Paolo Massaro, Ilaria Vannini and Oliver Giudice
- 547: Quality checks on granular banking data: an experimental approach based on machine learning?

- Fabio Zambuto, Maria Rosaria Buzzi, Giuseppe Costanzo, Marco Di Lucido, Barbara La Ganga, Pasquale Maddaloni, Fabio Papale and Emiliano Svezia
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