DEM Working Papers Series
From University of Pavia, Department of Economics and Management
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- 125: Natives and Migrants in Home Production: The Case of Germany

- Emanuele Forlani, Elisabetta Lodigiani and Concetta Mendolicchio
- 124: Bail in or Bail out? The Atlante example from a systemic risk perspective

- Paolo Giudici and Laura Parisi
- 123: Firms’ Dynamics and Business Cycle: New Disaggregated Data

- Lorenza Rossi and Emilio Zanetti Chini
- 122: Vertical Differentiation With Consumers Misperceptions And Information Disparities

- Alberto Cavaliere and Giovanni Crea
- 120: Il Settore del Teleriscaldamento in Italia: Struttura e Assetto Regolatorio

- Samanta Meli
- 119: Equilibrium and Optimality in Gale-von Neumann Models

- Giorgio Giorgi and Cesare Zuccotti
- 118: The multivariate nature of systemic risk: direct and common exposures

- Paolo Giudici, Peter Sarlin and Alessandro Spelta
- 117: Big data models of bank risk contagion

- Paola Cerchiello, Paolo Giudici and Giancarlo Nicola
- 116: CoRisk: measuring systemic risk through default probability contagion

- Paolo Giudici and Laura Parisi
- 115: L’azione del Movimento Federalista Europeo per la moneta europea

- Guido Montani
- 114: Generalizing smooth transition autoregressions

- Emilio Zanetti Chini
- 113: Modelling Probability of Default of Russian Banks and Companies Using Copula Models

- Ilya Khankov and Henry Penikas
- 112: Dynamic hierarchical models for monetary transmission

- Paolo Giudici and Laura Parisi
- 110: Modeling Systemic Risk with Correlated Stochastic Processes

- Paolo Giudici and Laura Parisi
- 109: The Analysis of the Gender Wage Gap in the Italian Public Sector: a Quantile Approach for Panel Data

- Carolina Castagnetti
- 107: Development and the post-2015 challenges: making the Sustainable Development Goals work

- Gianni Vaggi
- 106: Dynamic models for monetary transmission

- Paolo Giudici and Laura Parisi
- 105: The German Question and the European Question. Monetary Union and European Democracy after the Greek crisis

- Guido Montani
- 104: Firms Endogenous Entry and Monopolistic Banking in a DSGE model

- Carla La Croce and Lorenza Rossi
- 103: Systemic risk of Islamic Banks

- Paolo Giudici and Shatha Hashem
- 102: A Bayesian h-index: how to measure research impact

- Paola Cerchiello and Paolo Giudici
- 101: Monetary transmission models for bank interest rates

- Laura Parisi, Igor Gianfrancesco, Camillo Gilberto and Paolo Giudici
- 100: Taylor Rules, Long-Run Growth and Real Uncertainty

- Barbara Annicchiarico and Lorenza Rossi
- 99: Endogenous Firms' Exit, Inefficient Banks and Business Cycle Dynamics

- Lorenza Rossi
- 98: Investments in Water Networks: A Normative Analysis of Local Public Utilities

- Alberto Cavaliere, Mario Maggi and Francesca Stroffolini
- 97: An Overview on D-stable Matrices

- Giorgio Giorgi and Cesare Zuccotti
- 96: Measuring Bank Contagion in Europe Using Binary Spatial Regression Models

- Raffaella Calabrese, Johan A. Elkink and Paolo Giudici
- 95: Some Notes on Approximate Optimality Conditions in Scalar and Vector Optimization Problems

- Giorgio Giorgi, Bienvenido Jiménez and Vicente Novo
- 94: Again on the Farkas Theorem and the Tucker Key Theorem Proved Easily

- Giorgio Giorgi
- 93: Financial Reliability and Firms' Export Activity

- Emanuele Forlani
- 92: Testing for no factor structures: on the use of average-type and Hausman-type statistics

- Carolina Castagnetti, Eduardo Rossi and Lorenzo Trapani
- 91: Why Gross National Disposable Income should substitute Gross National Income

- Clara Capelli and Gianni Vaggi
- 90: Finance, Foreign (Direct) Investment and Dutch Disease: The Case of Colombia

- Alberto Botta, Antoine Godin and Marco Missaglia
- 89: The Macroeconomics of a Financial Dutch Disease

- Alberto Botta
- 88: Inference on Factor Structures in Heterogeneous Panels

- Carolina Castagnetti, Eduardo Rossi and Lorenzo Trapani
- 87: Conditional graphical models for systemic risk measurement

- Paola Cerchiello and Paolo Giudici
- 86: Financial big data analysis for the estimation of systemic risks

- Paola Cerchiello and Paolo Giudici
- 85: Identifying SIFI Determinants for Global Banks and Insurance Companies: Implications for D-SIFIs in Russia

- Maiya Anokhina, Henry Penikas and Victor Petrov
- 84: Beliefs and Precedent: The Dynamics of Access to Justice

- Giorgio Rampa and Margherita Saraceno
- 83: Food competition in world markets: Some evidence from a panel data analysis of top exporting countries

- Donatella Baiardi, Carluccio Bianchi and Eleonora Lorenzini
- 82: Proposed Coal Power Plants and Coal-To-Liquids Plants: Which Ones Survive and Why?

- Dean Fantazzini and Mario Maggi
- 81: A General Theory of Endogenous Market Structures

- Paolo Bertoletti and Federico Etro
- 80: Open-economy Distribution Forecast Targeting, Macroeconomic Volatility and Financial Implication

- Alessandro Flamini and Costas Milas
- 79: New-Keynesian Phillips Curve with Bertrand Competition and Endogenous Entry

- Federico Etro and Lorenza Rossi
- 78: Complex endogenous dynamics in a one-sector growth model with differential savings

- Fabio Tramontana and Viktor Avrutin
- 77: Risk of loss towards an agent based model

- Simone Pace
- 76: Bifurcation structure in a bimodal piecewise linear business cycle model

- Viktor Avrutin, Irina Sushko and Fabio Tramontana
- 75: Some Extensions of the class of K-matrices: A Survey and Some Economic Applications

- Giorgio Giorgi and Cesare Zuccotti
- 74: The price and income elasticities of the top clothing exporters: Evidence from a panel data analysis

- Donatella Baiardi, Carluccio Bianchi and Eleonora Lorenzini
- 73: On open identity; otherness, distance and self-command; Smith and the view of justice

- Gianni Vaggi and Sara Stefanini