Temi di discussione (Economic working papers)
From Bank of Italy, Economic Research and International Relations Area
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- 408: Correlation Analysis of Financial Contagion: What One Should Know before Running a Test
- Giancarlo Corsetti, Marcello Pericoli and Massimo Sbracia
- 407: A Primer on Financial Contagion
- Marcello Pericoli and Massimo Sbracia
- 406: The Evolution of Confidence for European Consumers and Businesses in France, Germany and Italy
- Paolo Carnazza and Giuseppe Parigi
- 405: Money demand in the euro area: do national differences matter?
- Luca Dedola, Eugenio Gaiotti and Luca Silipo
- 404: The Effects of Bank Consolidation and Market Entry on Small Business Lending
- Emilia Bonaccorsi di Patti and Giorgio Gobbi
- 403: Seasonality and Capacity: an Application to Italy
- Guido de Blasio and Federico Mini
- 402: Il modello di specializzazione internazionale dell'Italia e dei principali paesi europei: omogeneit� e convergenza
- Matteo Bugamelli
- 401: Optimal Debt Maturity under EMU
- Raffaela Giordano
- 400: Is the Italian Labour market segmented?
- Piero Cipollone
- 399: Labor Income and Risky Assets under Market Incompleteness: Evidence from Italian Data
- Giuseppe Grande and Luigi Ventura
- 398: La convergenza dei salari manifatturieri in Europa
- Piero Cipollone
- 397: A Simple Approach to the Estimation of Continuous Time CEV Stochastic Volatility Models of the Short-Term Rate
- Fabio Fornari and Antonio Mele
- 396: Recovering the Probability Density Function of Asset Prices Using GARCH as Diffusion Approximations
- Fabio Fornari and Antonio Mele
- 395: Macroeconomic forecasting: Debunking a few old wives' tales
- Stefano Siviero and Daniele Terlizzese
- 394: Firm Size Distribution and Growth
- Patrizio Pagano and Fabiano Schivardi
- 393: The Stability of the Relation between the Stock Market and Macroeconomic Forces
- Fabio Panetta
- 392: Unobserved Factor Utilization, Technology Shocks and Business Cycles
- Domenico J. Marchetti and Francesco Nucci
- 391: Expectations and information in second generation currency crises models
- Massimo Sbracia and Andrea Zaghini
- 390: Disuguaglianza dei redditi individuali e ruolo della famiglia in Italia
- Giovanni D'Alessio and Luigi Federico Signorini
- 389: The monetary transmission mechanism; evidence from the industries of five OECD countries
- Luca Dedola and Francesco Lippi
- 388: La "credit view" in economia aperta: un�applicazione al caso italiano
- Paolo Chiades and Leonardo Gambacorta
- 387: The multimarket contacts theory; an application to Italian banks
- Riccardo De Bonis and Annalisa Ferrando
- 386: Revisiting the Case for a Populist Central Banker
- Francesco Lippi
- 385: Testing for Stochastic Trends in Series with Structural Breaks
- Fabio Busetti
- 384: Will a Common European Monetary Policy Have Asymmetric Effects?
- Luigi Guiso, Anil Kashyap, Fabio Panetta and Daniele Terlizzese
- 383: (Fractional) Beta Convergence
- Claudio Michelacci and Paolo Zaffaroni
- 382: Endogenous Growth with Intertemporally Dependent Preferences
- Giuseppe Ferraguto and Patrizio Pagano
- 381: The Determinants of Cross-Border Bank Shareholdings; an Analysis with Bank-Level Data from OECD Countries
- Dario Focarelli and Alberto Pozzolo
- 380: Bank Competition and Regulatory Reform: The Case of the Italian Banking Industry
- Paolo Angelini and Nicola Cetorelli
- 379: Promise and Pitfalls in the Use of 'Secondary' Data-Sets: Income Inequality in OECD Countries
- Anthony Atkinson and Andrea Brandolini
- 378: Stock Values and Fundamentals; Link or Irrationality?
- Fabio Fornari and Marcello Pericoli
- 377: The Italian Business Cycle; Coincident and Leading Indicators and Some Stylized Facts
- Filippo Altissimo, Domenico J. Marchetti and Gian Paolo Oneto
- 376: Do Better Institutions Mitigate Agency Problems? Evidence from Corporate Finance Choices
- Mariassunta Giannetti
- 375: EMU fiscal rules: Is there a gap?
- Fabrizio Balassone and Daniela Monacelli
- 374: Strategic Monetary Policy with Non-Atomistic Wage-Setters
- Francesco Lippi
- 373: Tassazione e costo del lavoro nei paesi industriali
- Maria Rosaria Marino and Roberto Rinaldi
- 372: Investment and Growth in Europe and in the United States in the Nineties
- Paola Caselli, Patrizio Pagano and Fabiano Schivardi
- 371: The Seasonal Adjustment of the harmonised Index of Consumer Prices for the Euro Area: a Comparison of Direct and Indirect Methods
- Riccardo Cristadoro and Roberto Sabbatini
- 370: Forecasting Industrial Production in the Euro Area
- Giorgio Bodo, Roberto Golinelli and Giuseppe Parigi
- 369: Banking System, International Investors and Central Bank Policy in Emerging Markets
- Mariassunta Giannetti
- 368: Information Spillovers and Factor Adjustment
- Luigi Guiso and Fabiano Schivardi
- 367: An Investment-Function-Based Measure of Capacity Utilisation. Potential Output and Utilised Capacity in the Bank of Italy's Quarterly Model
- Giuseppe Parigi and Stefano Siviero
- 366: On the Mechanics of Migration Decisions; Skill Complementarities and Endogenous Price Differentials
- Mariassunta Giannetti
- 365: Labor Markets and Monetary Union; a Strategic Analysis
- Alex Cukierman and Francesco Lippi
- 364: Rigidity in the labour market, unemployment and growth
- Fabiano Schivardi
- 363: The transmission of monetary policy shocks in Italy
- Eugenio Gaiotti
- 362: Markup and the Business Cycle: Evidence from Italian Manufacturing Branches
- Domenica J. Marchetti
- 361: Why Do Banks Merge?
- Dario Focarelli, Fabio Panetta and Carmelo Salleo
- 360: The cost and availability of credit for firms in industrial districts
- Paolo Finaldi Russo and Paola Rossi
- 359: Does Market Transparency Matter? a Case Study
- Antonio Scalia and Valerio Vacca