Temi di discussione (Economic working 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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- 1166: Banks' holdings of and trading in government bonds

- Michele Manna and Stefano Nobili
- 1165: Listening to the buzz: social media sentiment and retail depositors' trust

- Matteo Accornero and Mirko Moscatelli
- 1164: Are lenders using risk-based pricing in the consumer loan market? The effects of the 2008 crisis

- Silvia Magri
- 1163: What will Brexit mean for the British and euro-area economies? A model-based assessment of trade regimes

- Massimiliano Pisani and Filippo Vergara Caffarelli
- 1162: Real exchange rate misalignments in the euro area

- Michael Fidora, Claire Giordano and Martin Schmitz
- 1161: Please in my back yard: the private and public benefits of a new tram line in Florence

- Valeriia Budiakivska and Luca Casolaro
- 1160: Pairwise trading in the money market during the European sovereign debt crisis

- Edoardo Rainone
- 1159: Banks’ maturity transformation: risk, reward, and policy

- Pierluigi Bologna
- 1158: Targeting policy-compliers with machine learning: an application to a tax rebate programme in Italy

- Monica Andini, Emanuele Ciani, Guido de Blasio, Alessio D'Ignazio and Viola Salvestrini
- 1157: The CSPP at work: yield heterogeneity and the portfolio rebalancing channel

- Andrea Zaghini
- 1156: Secular stagnation, R&D, public investment and monetary policy: a global-model perspective

- Pietro Cova, Patrizio Pagano, Alessandro Notarpietro and Massimiliano Pisani
- 1155: Optimal monetary policy and fiscal interactions in a non-Ricardian economy

- Massimiliano Rigon and Francesco Zanetti
- 1154: Capital controls, macroprudential measures and monetary policy interactions in an emerging economy

- Valerio Nispi Landi
- 1153: Systemic risk and systemic importance measures during the crisis

- Sergio Masciantonio and Andrea Zaghini
- 1152: International financial flows and the risk-taking channel

- Pietro Cova and Filippo Natoli
- 1151: Fiscal policy uncertainty and the business cycle: time series evidence from Italy

- Alessio Anzuini, Luca Rossi and Pietro Tommasino
- 1150: Public investment and monetary policy stance in the euro area

- Lorenzo Burlon, Alberto Locarno, Alessandro Notarpietro and Massimiliano Pisani
- 1149: Looking behind the financial cycle: the neglected role of demographics

- Alessandro Ferrari
- 1148: Investment decisions by European firms and financing constraints

- Andrea Mercatanti, Taneli Mäkinen and Andrea Silvestrini
- 1147: Consistent inference in fixed-effects stochastic frontier models

- Federico Belotti and Giuseppe Ilardi
- 1146: Internal Capital Markets in Times of Crisis: The Benefit of Group Affiliation in Italy

- Raffaele Santioni, Fabio Schiantarelli and Philip E. Strahan
- 1145: A Financial Conditions Index for the CEE economies

- Simone Auer
- 1144: Leaving your mamma: why so late in Italy?

- Enrica Di Stefano
- 1143: Capital Misallocation and Financial Development: A Sector-Level Analysis

- Daniela Marconi and Christian Upper
- 1142: Monetary policy in times of debt

- Mario Pietrunti and Federico Signoretti
- 1141: A quantitative analysis of risk premia in the corporate bond market

- Sara Cecchetti
- 1140: Natural rates across the Atlantic

- Stefano Neri and Andrea Gerali
- 1139: Credit misallocation during the European financial crisis

- Fabiano Schivardi, Enrico Sette and Guido Tabellini
- 1138: Tony Atkinson and his legacy

- Rolf Aaberge, François Bourguignon, Andrea Brandolini, Francisco Ferreira, Janet C. Gornick, John Hills, Markus Jantti, Stephen Jenkins, Eric Marlier, John Micklewright, Brian Nolan, Thomas Piketty, Walter J. Radermacher, Timothy M. Smeeding, Nicholas H. Stern, Joseph Stiglitz and Holly Sutherland
- 1137: On secular stagnation and low interest rates: demography matters

- Stefano Neri, Giuseppe Ferrero and Marco Gross
- 1136: Macroeconomic effects of non-standard monetary policy measures in the euro area: the role of corporate bond purchases

- Anna Bartocci, Lorenzo Burlon, Alessandro Notarpietro and Massimiliano Pisani
- 1135: Legislators' behaviour and electoral rules: evidence from an Italian reform

- Giuseppe Albanese, Marika Cioffi and Pietro Tommasino
- 1134: Credit demand and supply: a two-way feedback relation

- Ugo Albertazzi and Lucia Esposito
- 1133: The real effects of relationship lending

- Ryan Banerjee, Enrico Sette and Leonardo Gambacorta
- 1132: Low frequency drivers of the real interest rate: a band spectrum regression approach

- Fabio Busetti and Michele Caivano
- 1131: Venture capitalists at work: what are the effects on the firms they finance?

- Raffaello Bronzini, Gianpaolo Caramellino and Silvia Magri
- 1130: The Bank of Italy econometric model: an update of the main equations and model elasticities

- Guido Bulligan, Fabio Busetti, Michele Caivano, Pietro Cova, Davide Fantino, Alberto Locarno and Lisa Rodano
- 1129: The effects of central bank’s verbal guidance: evidence from the ECB

- Maddalena Galardo and Cinzia Guerrieri
- 1128: The double bind of asymmetric information in over-the-counter markets

- Taneli Mäkinen and Francesco Palazzo
- 1127: Human capital and urban growth in Italy, 1981-2001

- Francesco Giffoni, Matteo Gomellini and Dario Pellegrino
- 1126: The cyclicality of the income elasticity of trade

- Alessandro Borin, Virginia Di Nino, Michele Mancini and Massimo Sbracia
- 1125: The consequences of public employment: evidence from Italian municipalities

- Marta Auricchio, Emanuele Ciani, Alberto Dalmazzo and Guido de Blasio
- 1124: Law enforcement and political participation: Italy, 1861-65

- Antonio Accetturo, Matteo Bugamelli and Andrea Lamorgese
- 1123: Multiple lending, credit lines, and financial contagion

- Giuseppe Cappelletti and Paolo Emilio Mistrulli
- 1122: Large time-varying parameter VARs: a non-parametric approach

- George Kapetanios, Massimiliano Marcellino and Fabrizio Venditti
- 1121: The financial stability dark side of monetary policy

- Piergiorgio Alessandri, Antonio Conti and Fabrizio Venditti
- 1120: Medium and long term implications of financial integration without financial development

- Flavia Corneli
- 1119: The collateral channel of unconventional monetary policy

- Giuseppe Ferrero, Michele Loberto and Marcello Miccoli
- 1118: The interbank network across the global financial crisis: evidence from Italy

- Massimiliano Affinito and Alberto Pozzolo
- 1117: No free lunch, Buddy: past housing transfers and informal care later in life

- Emanuele Ciani and Claudio Deiana
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