Temi di discussione (Economic working papers)
From Bank of Italy, Economic Research and International Relations Area
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- 532: L�introduzione dell�euro e la divergenza tra infl azione rilevata e percepita

- Paolo Del Giovane and Roberto Sabbatini
- 531: Cyclical asymmetry in fiscal policy, debt accumulation and the Treaty of Maastricht

- Fabrizio Balassone and Maura Francese
- 530: Household Wealth Distribution in Italy in the 1990s

- Andrea Brandolini, Luigi Cannari, Giovanni D'Alessio and Ivan Faiella
- 529: Does the ILO Definition Capture All Unemployment?

- Andrea Brandolini, Piero Cipollone and Eliana Viviano
- 528: The role of guarantees in bank lending

- Alberto Pozzolo
- 527: Endogenous growth in open economies: a surveys

- Alberto Pozzolo
- 526: Foreign direct investment and agglomeration: evidence from Italy

- Raffaello Bronzini
- 525: Is there a cost channel of monetary policy transmission? An investigation into the pricing behaviour of 2,000 firms

- Eugenio Gaiotti and Alessandro Secchi
- 524: Pricing behavior and the comovement of productivity and labor: evidence from firm-level data

- Domenico J. Marchetti and Francesco Nucci
- 523: The short-term impact of government budgets on prices; evidence from macroeconometric models

- Jerome Henry, Pablo Hernández de Cos and Sandro Momigliano
- 522: Tecnologia e dinamica dei vantaggi comparati: un confronto fra quattro regioni italiane

- Chiara Bentivogli and Fabio Quintiliani
- 521: Do mergers improve information? Evidence from the loan market

- Fabio Panetta, Fabiano Schivardi and Matthew Shum
- 520: Errori di misura nell�indagine sui bilanci delle famiglie italiane

- Claudia Biancotti, Giovanni D'Alessio and Andrea Neri
- 519: Un modello dei conti economici per il sistema bancario italiano

- Luca Casolaro and Leonardo Gambacorta
- 518: Perch� le imprese ricorrono al factoring? Il caso dell'Italia

- Michele Benvenuti and Marco Gallo
- 517: The modelling of operational risk: experience with the analysis of the data collected by the Basel Committee

- Marco Moscadelli
- 516: Business cycle non-linearities and productivity shocks

- Paolo Piselli
- 515: The pricing behaviour of Italian firms: new survey evidence on price stickiness

- Silvia Fabiani, Angela Gattulli and Roberto Sabbatini
- 514: Financial structure and the transmission of monetary shocks: preliminary evidence for the Czech Republic, Hungary and Poland

- Alessio Anzuini and Aviram Levy
- 513: Monetary policy and stock prices: theory and evidence

- Stefano Neri
- 512: Monetary union with voluntary participation

- William Fuchs and Francesco Lippi
- 511: Information variables for monetary policy in a small structural model of the euro area

- Francesco Lippi and Stefano Neri
- 510: Does wealth affect consumption? Evidence for Italy

- Monica Paiella
- 509: Bad Loans and Entry into Local Credit Markets

- Marcello Bofondi and Giorgio Gobbi
- 508: The interaction between face-to-face and electronic delivery: the case of the Italian banking industry

- Emilia Bonaccorsi di Patti, Giorgio Gobbi and Paolo Emilio Mistrulli
- 507: Estimating state price densities by Hermite polynomials: theory and application to the Italian derivatives market

- Paolo Guasoni
- 506: Estimating expectations of shocks using option prices

- Antonio Di Cesare
- 505: Social mobility and endogenous cycles in redistribution

- Francesco Zollino
- 504: Firm size distribution and employment protection legislation in Italy

- Fabiano Schivardi and Roberto Torrini
- 503: Il pilastro privato del sistema previdenziale. Il caso del Regno Unito

- Francesco Spadafora
- 502: Optimal Duplication of Effort in Advocacy Systems

- Giuliana Palumbo
- 501: La ricchezza delle famiglie italiane e americane

- Ivan Faiella and Andrea Neri
- 500: Turning-point indicators from business surveys: real-time detection for the euro area and its major member countries

- Alberto Baffigi and Antonio Bassanetti
- 499: Monetary Policy and the Transition to Rational Expectations

- Giuseppe Ferrero
- 498: Does trade credit substitute for bank credit?

- Guido de Blasio
- 497: Funzionamento della giustizia civile e struttura finanziaria delle imprese: il ruolo del credito commerciale

- Amanda Carmignani
- 496: Il debito commerciale in Italia: quanto contano le motivazioni finanziarie?

- Paolo Finaldi Russo and Luigi Leva
- 495: Condizioni del credito commerciale e differenziazione della clientela

- Luigi Cannari, Salvatore Chiri and Massimo Omiccioli
- 494: Il credito commerciale: problemi e teorie

- Massimo Omiccioli
- 493: Endogenous monetary policy with unobserved potential output

- Alex Cukierman and Francesco Lippi
- 492: Centralization of wage bargaining and the unemployment rate: revisiting the hump-shape hypothesis

- Lorenzo Forni
- 491: Investire in Italia? Risultati di una recente indagine empirica

- Marco Committeri
- 490: La bilancia dei pagamenti di parte corrente Nord-Sud (1998-2000)

- Luigi Cannari and Salvatore Chiri
- 489: Information technology and productivity changes in the Italian banking industry

- Luca Casolaro and Giorgio Gobbi
- 488: Pitfalls of monetary policy under incomplete information: imprecise indicators and real indeterminacy

- Eugenio Gaiotti
- 487: A Polarization of Polarization? The Distribution of Inequality 1970-1996

- Claudia Biancotti
- 486: Bank Capital and Lending Behaviour: Empirical Evidence for Italy

- Leonardo Gambacorta and Paolo Emilio Mistrulli
- 485: L�utilizzo degli indicatori compositi nell'analisi congiunturale territoriale: un'applicazione all'economia del Veneto

- Paolo Chiades, Massimo Gallo and Andrea Venturini
- 484: What is this thing called confidence? A comparative analysis of consumer confidence indices in eight major countries

- Roberto Golinelli and Giuseppe Parigi
- 483: Risk Aversion, Wealth and Background Risk

- Luigi Guiso and Monica Paiella