Working Papers
From IGIER (Innocenzo Gasparini Institute for Economic Research), Bocconi University via Rontgen, 1 - 20136 Milano (Italy). Bibliographic data for series maintained by (). Access Statistics for this working paper series.
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- 476: Assessing International Efficiency

- Jonathan Heathcote and Fabrizio Perri
- 475: The Flip Side of Financial Synergies:Coinsurance versus Risk Contamination

- Albert Banal-Estanol, Marco Ottaviani and Andrew Winton
- 474: Emotions and Political Unrest

- Francesco Passarelli and Guido Tabellini
- 473: How General Are Time Preferences? Eliciting Good-Specific Discount Rates

- Diego Ubfal
- 472: The international diversification puzzle is not as bad as you think

- Jonathan Heathcote and Fabrizio Perri
- 471: Sovereign Contagion in Europe: Evidence from the CDS Market

- Paolo Manasse and Luca Zavalloni
- 470: Just Enough or All: Selling a Firm

- Mehmet Ekmekci, Nenad Kos and Rakesh Vohra
- 469: Migration, Cultural Diversity and Innovation: A European Perspective

- Valentina Bosetti, Cristina Cattaneo and Elena Verdolini
- 468: Optimal investment and the ambiguous aggregation of expert opinions

- Stergios Athanassoglou, Valentina Bosetti and Gauthier de Maere d'Aertryckey
- 467: Optimal Life-cycle Capital Taxation under Self-Control Problems

- Nicola Pavoni and Hakki Yazici
- 466: Contractive Dual Methods for Incentive Problems

- Matthias Messner, Nicola Pavoni and Christopher Sleet
- 465: Sales Talk, Cancellation Terms, and the Role of Consumer Protection

- Roman Inderst and Marco Ottaviani
- 464: Money Doctors

- Nicola Gennaioli, Andrei Shleifer and Robert Vishny
- 463: Salience and Consumer Choice

- Pedro Bordalo, Nicola Gennaioli and Andrei Shleifer
- 462: Sovereign Default, Domestic Banks, and Financial Institutions

- Nicola Gennaioli, Alberto Martin and Stefano Rossi
- 461: Conflict, Climate and Cells: A disaggregated analysis

- Mariaflavia Harari and Eliana La Ferrara
- 460: Labor-tying and poverty in a rural economy:evidence from bangladesh

- Selim Gulesci
- 459: Analysis of Information Feedback and Selfconfirming Equilibrium

- Pierpaolo Battigalli, Simone Cerreia-Vioglio, Fabio Maccheroni and Massimo Marinacci
- 458: Niveloids and Their Extensions:Risk Measures on Small Domains

- Simone Cerreia-Vioglio, Fabio Maccheroni, Massimo Marinacci and Aldo Rustichini
- 457: Deception: The Role of Guilt

- Pierpaolo Battigalli, Gary Charness and Martin Dufwenberg
- 456: Can We Forecast the Implied Volatility Surface Dynamics of Equity Options? Predictability and Economic Value Tests

- Alejandro Bernales and Massimo Guidolin
- 455: Optimal Portfolios for Occupational Funds under Time-Varying Correlations in Bull and Bear Markets? Assessing the Ex-Post Economic Value

- Massimo Guidolin and Stuart Hyde
- 454: The banking and distribution sectors in a small open economy DSGE Model

- Szabolcs Deak, Lionel Fontagné, Marco Maffezzoli and Massimiliano Marcellino
- 453: Information in tender offers with a large shareholder

- Mehmet Ekmekci and Nenad Kos
- 452: The Weight of Personal Experience: an Experimental Measurement

- Zacharias Maniadis and Joshua Miller
- 451: The Labor Market Consequences of Adverse Financial Shocks

- Tito Boeri, Pietro Garibaldi and Espen Moen
- 450: The output effect of fiscal consolidations

- Alberto Alesina, Carlo Favero and Francesco Giavazzi
- 449: Is Monetary Policy in an Open Economy Fundamentally Different?

- Tommaso Monacelli
- 448: Public Debt and Redistribution with Borrowing Constraints

- Florin Bilbiie, Tommaso Monacelli and Roberto Perotti
- 447: Put-Call Parity and Market Frictions

- Simone Cerreia-Vioglio, Fabio Maccheroni and Massimo Marinacci
- 446: The Design of Ambiguous Mechanisms

- Alfredo Di Tillio, Nenad Kos and Matthias Messner
- 445: The Clan and the City: Sustaining Cooperation in China and Europe

- Avner Greif and Guido Tabellini
- 444: A Theory of Corporate Boards and Forced CEO Turnover

- Thomas Chemmanur and Viktar Fedaseyeu
- 443: Loans from the Government, Overinvestment by Households, and Asset Bubbles

- Viktar Fedaseyeu and Vitaliy Strohush
- 442: Debt Collection Agencies and the Supply of Consumer Credit

- Viktar Fedaseyeu
- 441: Secondary Buyouts

- Stefano Bonini
- 440: Interactive and Moral Reasoning: A Comparative Study of Response Times

- Pablo Brañas-Garza, Debrah Meloso and Luis Miller
- 439: Measuring the Impact of Longevity Risk on Pension Systems: The Case of Italy

- Emilio Bisetti and Carlo Favero
- 438: Competition in Portfolio Management: Theory and Experiment

- Elena Asparouhova, Peter Bossaerts, Jernej Copic, Brad Cornell, Jaksa Cvitanic and Debrah Meloso
- 437: A Simple Theory of Predation

- Chiara Fumagalli and Massimo Motta
- 436: Who pays for it? The Heterogeneous Wage Effects of Employment Protection Legislation

- Marco Leonardi and Giovanni Pica
- 435: Public Debt and Redistribution with Borrowing Constraints

- Florin Bilbiie, Tommaso Monacelli and Roberto Perotti
- 434: Antitrust in Innovative Industries: the Optimal Legal Standards

- Giovanni Immordino and Michele Polo
- 433: Choquet Integration on Riesz Spaces and Dual Comonotonicity

- Simone Cerreia-Vioglio, Fabio Maccheroni, Massimo Marinacci and Luigi Montrucchio
- 432: Euro Area Money Demand and International Portfolio Allocation: A Contribution to Assessing Risks to Price Stability

- Roberto De Santis, Carlo Favero and Barbara Roffia
- 431: Modelling and Forecasting Yield Differentials in the euro area. A non-linear Global VAR model

- Carlo Favero
- 430: The "Austerity Myth": Gain without Pain?

- Roberto Perotti
- 429: Expectations and Fiscal Policy: An Empirical Investigation

- Roberto Perotti
- 428: Selfconfirming Equilibrium and Uncertainty

- Pierpaolo Battigalli, Simone Cerreia-Vioglio, Fabio Maccheroni and Massimo Marinacci
- 427: Issues in on-line advertising and competition policy: a two-sided market perspective

- Emilio Calvano and Bruno Jullien
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