Content
2021
- 641 Beneath the surface: investigating industry heterogeneity in Italy’s goods export market share performance
by Stefano Federico & Claire Giordano - 640 New evidence on State aid for firms in Italy
by Giuseppe Albanese & Rosalia Greco & Luciano Lavecchia & Marco Manile - 639 A micro-founded climate stress test on the financial vulnerability of Italian households and firms
by Ivan Faiella & Luciano Lavecchia & Alessandro Mistretta & Valentina Michelangeli - 638 Ageing and expenditure of Italian households
by Vincenzo Mariani - 637 Agglomeration and the Italian North-South divide
by Luigi Buzzacchi & Antonio De Marco & Marcello Pagnini - 636 A new universal child allowance in Italy: equity and efficiency concerns
by Nicola Curci & Marco Savegnago - 635 Infrastructure gaps in Italy: a case-by-case measurement
by Mauro Bucci & Elena Gennari & Giorgio Ivaldi & Giovanna Messina & Luca Moller - 634 Main challenges and prospects for the European banking sector: a critical review of the ongoing debate
by Salvatore Cardillo & Raffaele Gallo & Francesco Guarino - 633 The impact of complex financial instruments on banks’ vulnerability: empirical evidence on SSM banks
by Tommaso Perez & Francesco Potente & Andrea Carboni & Alberto Di Iorio & Jacopo Raponi - 632 The market notices published by the Italian Stock Exchange: a machine learning approach for the selection of the relevant ones
by Marta Bernardini & Paolo Massaro & Francesca Pepe & Francesco Tocco - 631 Application of classification algorithms for the assessment of confirmation to quality remarks
by Fabio Zambuto & Simona Arcuti & Roberto Sabatini & Daniele Zambuto - 630 The Economic Effects of Firm-Level Uncertainty: Evidence Using Subjective Expectations
by Giuseppe Fiori & Filippo Scoccianti - 629 Principled data access: building public-private data partnerships for better official statistics
by Claudia Biancotti & Oscar Borgogno & Giovanni Veronese - 628 Interchange Fee Regulation and card payments: a cross-country analysis
by Guerino Ardizzi & Diego Scalise & Gabriele Sene - 627 Living on my own: the impact of the Covid-19 pandemic on housing preferences
by Elisa Guglielminetti & Michele Loberto & Giordano Zevi & Roberta Zizza - 626 Measuring the impact of a bank failure on the real economy. An EU-wide analytical framework
by Valerio Paolo Vacca & Fabian Bichlmeier & Paolo Biraschi & Natalie Boschi & Antonio J. Bravo Alvarez & Luciano Di Primio & André Ebner & Silvia Hoeretzeder & Elisa Llorente Ballesteros & Claudia Miani & Giacomo Ricci & Raffaele Santioni & Stefan Schellerer & Hanna Westman - 625 The economics of non-bank financial intermediation: why do we need to fill the regulation gap?
by Maurizio Trapanese - 624 De-anchored long-term inflation expectations in a low growth, low rate environment
by Guido Bulligan & Francesco Corsello & Stefano Neri & Alex Tagliabracci - 623 Policy mix during a pandemic crisis: a review of the debate on monetary and fiscal responses and the legacy for the future
by Giuseppe Ferrero & Massimiliano Pisani & Martino Tasso - 622 An assessment on the potential impact of COVID-19 on the Italian demographic structure
by Giacomo Caracciolo & Salvatore Lo Bello & Dario Pellegrino - 621 Inflation expectations and the ECB’s perceived inflation objective: novel evidence from firm-level data
by Marco Bottone & Alex Tagliabracci & Giordano Zevi - 620 Consumption and saving patterns in Italy during Covid-19
by Elisa Guglielminetti & Concetta Rondinelli - 619 Firms' inflation expectations and pricing strategies during Covid-19
by Marco Bottone & Cristina Conflitti & Marianna Riggi & Alex Tagliabracci - 617 Methodological issues in the estimation of current account imbalances
by Valerio Della Corte & Claire Giordano - 616 Firm characteristics and potential output: a growth accounting approach
by Davide Fantino & Sara Formai & Alessandro Mistretta - 615 Urban public transport in Italy: past, present and future
by Sauro Mocetti & Giacomo Roma - 614 Households' energy demand and the effects of carbon pricing in Italy
by Ivan Faiella & Luciano Lavecchia - 613 The macroeconomic impact of infrastructure investment: a review of channels
by Valerio Ercolani - 612 Inflation expectations in the euro area: indicators, analyses and models used at Banca d’Italia
by Sara Cecchetti & Davide Fantino & Alessandro Notarpietro & Marianna Riggi & Alex Tagliabracci & Andrea Tiseno & Roberta Zizza - 611 Learning from revisions: a tool for detecting potential errors in banks' balance sheet statistical reporting
by Francesco Cusano & Giuseppe Marinelli & Stefano Piermattei - 610 Local and global agglomeration patterns in the banking sector: the calm in the mid of a storm
by Valter Di Giacinto & Marcello Pagnini - 609 Exploiting payments to track Italian economic activity: the experience at Banca d’Italia
by Valentina Aprigliano & Guerino Ardizzi & Alessia Cassetta & Alessandro Cavallero & Simone Emiliozzi & Alessandro Gambini & Nazzareno Renzi & Roberta Zizza - 608 Central banks, climate risks and sustainable finance
by Enrico Bernardini & Ivan Faiella & Luciano Lavecchia & Alessandro Mistretta & Filippo Natoli - 607 What do Italians think about tax evasion?
by Giovanni D’Alessio - 606 The impact of the COVID-19 shock on labour income inequality: evidence from Italy
by Francesca Carta & Marta De Philippis - 605 Covid-19 and official statistics: a wakeup call?
by Claudia Biancotti & Alfonso Rosolia & Giovanni Veronese & Robert Kirchner & Francois Mouriaux - 604 TLAC-eligible debt: who holds it? A view from the euro area
by Carmela Aurora Attinà & Pierluigi Bologna - 603 Changes in the employment structure and in job quality in Italy: a national and regional analysis
by Luciana Aimone Gigio, & Silvia Camussi & Vincenzo Maccarrone - 602 CIG: historical evolution, features and limitations
by Salvatore Lo Bello - 601 Return of the NPLs to the bright side: which Unlikely to Pay firms are more likely to pay?
by Massimiliano Affinito & Giorgio Meucci - 600 The professional associations in Italy: the measurement and effects of regulation
by Sauro Mocetti & Giacomo Roma - 599 Natural unemployment and activity rates: flow-based determinants and implications for price dynamics
by Francesco D'Amuri & Marta De Philippis & Elisa Guglielminetti & Salvatore Lo Bello - 598 Will multilateral development banks weather the Covid-19 crisis?
by Riccardo Settimo & Raffaele De Marchi - 597 The (little) reallocation potential of workers most hit by the Covid-19 crisis
by Gaetano Basso & Adele Grompone & Francesca Modena - 596 Forecasting corporate capital accumulation in Italy: the role of survey-based information
by Claire Giordano & Marco Marinucci & Andrea Silvestrini - 595 An OEE index for the Bank of Italy’s banknote production plant
by Michele Manna - 594 The EU bank insolvency framework: could less be more?
by Giovanni Majnoni & Gabriele Bernardini & Andreas Dal Santo & Maurizio Trapanese
2020
- 593 Alternative measures of underlying inflation in the euro area
by Cristina Conflitti - 592 Thus spoke the Bank of Italy’s Governors: an analysis of the language corpus of the Concluding Remarks, 1946-2018
by Valerio Astuti & Riccardo De Bonis & Sergio Marroni & Alessandro Vinci - 591 A game changer in payment habits: evidence from daily data during a pandemic
by Guerino Ardizzi & Andrea Nobili & Giorgia Rocco - 590 Firm undercapitalization in Italy: business crisis and survival before and after COVID-19
by Tommaso Orlando & Giacomo Rodano - 589 Capital flows during the pandemic: lessons for a more resilient international financial architecture
by Fernando Eguren Martin & Mark Joy & Claudia Maurini & Alessandro Moro & Valerio Nispi Landi & Alessandro Schiavone & Carlos van Hombeeck - 588 Italian people’s financial literacy: the results of the Bank of Italy’s 2020 survey
by Giovanni D’Alessio & Riccardo de Bonis & Andrea Neri & Cristiana Rampazzi - 587 Firms’ leverage across business cycles
by Antonio De Socio - 586 The In-house credit assessment system of Banca d'Italia
by Filippo Giovannelli & Alessandra Iannamorelli & Aviram Levy & Marco Orlandi - 585 The regulatory cycle in banking: what lessons from the U.S. experience? (from the Dodd-Frank Act to Covid-19)
by Maurizio Trapanese - 584 Wasted in waste? The benefits of switching from taxes to Pay-as-you-throw fees: the Italian case
by Giovanna Messina & Antonella Tomasi - 583 What can we learn about mortgage supply from online data?
by Agnese Carella & Federica Ciocchetta & Valentina Michelangeli & Federico Maria Signoretti - 582 Born in hard times: startups selection and intangible capital during the financial crisis
by Guzman Gonzales-Torres & Francesco Manaresi & Filippo Scoccianti - 581 The reconstruction of back data for Italy’s balance of payments and international investment position (1970-1999)
by Enrico Tosti - 580 Autarchy along the distribution
by Silvia Fabiani & Alberto Felettigh & Alfonso Rosolia - 579 A silent revolution: How central bank statistics have changed in the last 25 years
by Riccardo De Bonis & Matteo Piazza - 578 Break-even inflation rates: the Italian case
by Alberto Di Iorio & Marco Fanari - 577 The determinants of service export behaviour in Italian non-financial firms
by Alessandro Moro & Enrico Tosti - 576 Regional Differences in Retail Payment Habits in Italy
by Guerino Ardizzi & Elisa Bonifacio & Cristina Demma & Laura Painelli - 575 Bounded rationality and expectations in economics
by Ignazio Visco & Giordano Zevi - 574 Business continuity in times of distress: debt restructuring agreements and compositions with creditors in Italy
by Alessandro Danovi & Iacopo Donati & Ilaria Forestieri & Tommaso Orlando & Andrea Zorzi - 573 Connected Italy
by Emanuela Ciapanna & Giacomo Roma - 572 Robots and employment: evidence from Italy
by Davide Dottori - 571 Financial spillovers to emerging economies: the role of exchange rates and domestic fundamentals
by Alessio Ciarlone & Daniela Marconi - 570 From 8,000 to 1,000? Rationalization and governance of Italian Government-owned enterprises
by Sauro Mocetti & Giacomo Roma - 569 Italian workers at risk during the COVID-19 epidemic
by Teresa Barbieri & Gaetano Basso & Sergio Scicchitano - 568 Economies of scale revisited: evidence from Italian banks
by Emilia Bonaccorsi di Patti & Federica Ciocchetta - 567 Financial crises, macroprudential policy and the reliability of credit-to-GDP gaps
by Piergiorgio Alessandri & Pierluigi Bologna & Maddalena Galardo - 566 Recent export developments in the pharmaceutical sector in Italy and in the Lazio region
by Gloria Allione & Raffaello Bronzini & Claire Giordano - 565 The Matthew effect and modern finance: on the nexus between wealth inequality, financial development and financial technology
by Jon Frost & Leonardo Gambacorta & Romina Gambacorta - 564 Indicators of uncertainty: a brief user’s guide
by Luca Rossi - 563 Job-to-job flows and wage dynamics in France and Italy
by Clémence Berson & Marta De Philippis & Eliana Viviano - 562 Payment card fraud: global trends and empirical evidence on Internet card fraud in Italy
by Guerino Ardizzi & Elisa Bonifacio & Laura Painelli - 561 Mind the gap! Machine learning, ESG metrics and sustainable investment
by Ariel Lanza & Enrico Bernardini & Ivan Faiella - 560 The Italian public sector workforce: recent evolution in the light of the rules on turnover
by Lucia Rizzica - 559 An introduction to Italian balance sheets: methodology and stylized facts
by Luigi Infante & Francesco Vercelli - 558 SMEs’ direct and indirect access to public guarantees: an evaluation of regional regulations
by Luciano Lavecchia & Luigi Leva & David Loschiavo - 557 The carbon footprint of Italian loans
by Ivan Faiella & Luciano Lavecchia - 556 An update of the Bank of Italy methodology underlying the estimation of price-competitiveness misalignments
by Claire Giordano - 555 Firms’ listings: what is new? Italy versus the main European stock exchanges
by Paolo Finaldi Russo & Fabio Parlapiano & Daniele Pianeselli & Ilaria Supino - 554 Credit risk statistical information of the Bank of Italy and the new AnaCredit data collection
by Maria Di Noia & Davide Moretti - 553 Goods exports and soft export indicators: is a disconnect under way?
by Claire Giordano - 552 Diversity and inclusion in Italian banks: an empirical analysis of measures to support gender diversity on the board of directors
by Diana Capone - 551 Repo market and leverage ratio in the euro area
by Luca Baldo & Filippo Pasqualone & Antonio Scalia - 550 Don’t look back in anger: The use of derivatives in public debt management in Italy
by Mauro Bucci & Ilaria De Angelis & Emilio Vadalà - 549 FinTech credit: a critical review of empirical research
by Nicola Branzoli & Ilaria Supino - 548 Institutional sector classifier, a machine learning approach
by Paolo Massaro & Ilaria Vannini & Oliver Giudice - 547 Quality checks on granular banking data: an experimental approach based on machine learning?
by Fabio Zambuto & Maria Rosaria Buzzi & Giuseppe Costanzo & Marco Di Lucido & Barbara La Ganga & Pasquale Maddaloni & Fabio Papale & Emiliano Svezia - 546 Irpef: (Un)Fairness and (in)efficiency. A structural analysis based on the BIMic microsimulation model
by Nicola Curci & Pietro Rizza & Marzia Romanelli & Marco Savegnago - 545 The climate risk for the finance in Italy
by Ivan Faiella & Danila Malvolti - 544 Corruption red flags in public procurement: new evidence from Italian calls for tenders
by Francesco Decarolis & Cristina Giorgiantonio - 543 Online banking services and branch networks
by Amanda Carmignani & Marco Manile & Andrea Orame & Marcello Pagnini
2019
- 542 An assessment of recent trends in market-based expected iflation in the euro area
by Marcello Pericoli - 541 The effectiveness of the ECB’s asset purchases at the lower bound
by Giuseppe Grande & Adriana Grasso & Gabriele Zinna - 540 Why do banks close? The geography of branch pruning
by Paolo Emilio Mistrulli & Luca Antelmo & Maddalena Galardo & Iconio Garrì & Dario Pellegrino & Davide Revelli & Vito Savino - 539 Female labour supply in Italy: the role of parental leave and child care policies
by Francesca Carta - 538 Public works in Italy: time to completion and its determinants
by Carla Carlucci & Cristina Giorgiantonio & Tommaso Orlando - 537 Frontier and Superstar Firms in Italy
by Francesca Lotti & Enrico Sette - 536 The 'Margin call'. Export experience and firm entry into new export markets
by Matteo Bugamelli & Andrea Linarello & Roberta Serafini - 535 Two tales of foreign investor outflows: Italy in 2011-2012 and 2018
by Valerio Della Corte & Stefano Federico - 534 A two-tier system for remunerating banks’ excess liquidity in the euro area: aims and possible side effects
by Alessandro Secchi - 533 Households' investments in foreign mutual funds made transparent
by Massimo Coletta & Raffaele Santioni - 532 Bad loan closure times in Italy
by Emilia Bonaccorsi di Patti & Cristina Demma & Davide Dottori & Giacinto Micucci - 531 Modelling households� financial vulnerability with consumer credit and mortgage renegotiations
by Carmela Aurora Attin� & Francesco Franceschi & Valentina Michelangeli - 530 Making room for new competitors. A comparative perspective on Italy’s exports in the euro-area market
by Silvia Fabiani & Alberto Felettigh & Claire Giordano & Roberto Torrini - 529 G-20 financial regulation reforms: state of implementation and the effects ten years after the global financial crisis
by Maurizio Trapanese - 528 US trade policy in numbers: how exposed is the EU?
by Rita Cappariello & Michele Mancini - 527 A comparative evaluation of poverty measures in the Italian Survey of Household Income and Wealth
by Giovanni D�Alessio - 526 The evolution of inequality and social cohesion in Europe: 1957-2017
by Francesco Vercelli - 525 Innovations in the governance of State-owned museums and management of cultural heritage: some evidence from a survey of the Bank of Italy
by Luigi Leva & Vanessa Menicucci & Giacomo Roma & Daniele Ruggeri - 524 The management of the artistic and cultural heritage in Italy: international comparisons, territorial differences, problems and prospects
by Enrico Beretta & Giovanna Firpo & Andrea Migliardi & Diego Scalise - 523 Business travels, multinational firms and international trade
by Francesco Bripi - 522 How frequent a BEER? Assessing the impact of data frequency on real exchange rate misalignment estimation
by Claire Giordano - 521 The relationship between financial development and growth: the case of emerging Europe
by Alessio Ciarlone - 520 Capital and public investment in Italy: macroeconomic effects, measurement and regulatory weaknesses
by Fabio Busetti & Cristina Giorgiantonio & Giorgio Ivaldi & Sauro Mocetti & Alessandro Notarpietro & Pietro Tommasino - 519 Italy’s international trade in services: a story of missed growth?
by Alessandro Moro & Enrico Tosti - 518 Wages and prices in the euro area: exploring the nexus
by Antonio M. Conti & Andrea Nobili - 517 Development of a cyber threat intelligence apparatus in a central bank
by Boris Giannetto & Pasquale Digregorio - 516 Anchored or de-anchored? That is the question
by Francesco Corsello & Stefano Neri & Alex Tagliabracci - 515 Upwind sailors. Financial profile of innovative Italian firms during the double-dip recession
by Daniele Pianeselli - 514 Ownership structure and governance of the Italian firms: new evidence and effects on firm performance
by Audinga Baltrunaite & Elisa Brodi & Sauro Mocetti - 513 Trade shocks, product mix adjustment and productivity growth in Italian manufacturing
by Maria Gabriela Ladu & Andrea Linarello & Filippo Oropallo - 512 European integration in the time of mistrust
by Francesco Spadafora - 511 Regional policies for Italian innovative start-ups
by Giuseppe Albanese & Raffaello Bronzini & Luciano Lavecchia & Giovanni Soggia - 510 As long as the bank gains: expanding the retail distribution activity
by Danilo Liberati & Francesco Vercelli - 509 Tourism and local growth in Italy
by Emanuele Ciani & Raffaello Bronzini & Francesco Montaruli - 508 Local taxation on households: an analysis at municipal level
by Laura Conti & Daniela Mele & Vanni Mengotto & Eugenia Panicara & Roberto Rassu & Valentina Romano - 507 The Central Italy earthquake and its short-term impact on firms
by Davide Dottori & Giacinto Micucci - 506 Firm heterogeneity and trade in EU countries: A cross-country analysis
by Claire Giordano & Paloma Lopez-Garcia - 505 Tourism in Italy: figures and potential for development
by Andrea Petrella & Roberto Torrini & Guglielmo Barone & Enrico Beretta & Emanuele Breda & Rita Cappariello & Giuseppe Ciaccio & Laura Conti & Francesco David & Petra Degasperi & Angela di Gioia & Alberto Felettigh & Andrea Filippone & Giovanna Firpo & Massimo Gallo & Paolo Guaitini & Giulio Papini & Patrizia Passiglia & Fabio Quintiliani & Giacomo Roma & Valentina Romano & Diego Scalise - 504 Measuring financial inclusion in the main euro area countries: the role of electronic cards
by Giorgio Nuzzo & Stefano Piermattei - 503 Timely indicators for labour income inequality
by Franecsca Carta - 502 China�s international projection in the Xi Jinping�s era
by Lorenzo Bencivelli & Flavia Tonelli & Daniela Marconi & Stefano Iezzi & Andrea Zanotti & Raffaele Tartaglia Polcini & Alberto Coco & Maurizio Ghirga & Andrea Zucchini & Alessandro Giraudo & Raffaele De Marchi & Andrea Furgeri & Pietro Ginefra & Sergio Longoni & Giovanni Majnoni d'Intignano & Anna Marra & Elisa Sales & Giorgio Trebeschi & Ignazio Musu - 501 Foreigners on holiday in Italy: tourism products, destinations and travelers� characteristics
by Andrea Filippone & MAssimo Gallo & Patrizia Passiglia & Valentina Romano - 500 The expansion of consumer credit in Italy and in the Euro Area: what are the drivers and the risks?
by Silvia Magri & Valentina Michelangeli & Sabrina Pastorelli & Raffaella Pico - 499 Should the CCYB be enhanced with a sectoral dimension? The case of Italy
by Roberta Fiori & Claudia Pacella - 498 Ven-ICE: a new indicator for the economy of the Veneto region
by Massimo Gallo & Sonia Soncin & Andrea Venturini - 497 An indicator of macro-financial stress for Italy
by Arianna Miglietta & Fabrizio Venditti - 496 The distribution of well-being among Europeans
by Andrea Brandolini & Alfonso Rosolia - 495 Regulated occupations in Italy: extent and labor market effects
by Sauro Mocetti & Lucia Rizzica & Giacomo Roma - 494 The evolution of the Pillar 2 framework for banks: some thoughts after the financial crisis
by Marco Bevilacqua & Francesco Cannata & Raffaele Arturo Cristiano & Simona Gallina & Michele Petronzi & Silvia Cardarelli - 493 Assessing financial stability risks from the real estate market in Italy: an update
by Federica Ciocchetta & Wanda Cornacchia - 492 The geography of Italian income inequality: recent trends and the role of employment
by Emanuele Ciani & Roberto Torrini - 491 The impact of anti-money laundering oversight on banks' suspicious transaction reporting: Evidence from Italy
by Mario Gara & Francesco Manaresi & Domenico J. Marchetti & Marco Marinucci - 490 Local development, urban economies and aggregate growth
by Antonio Accetturo & Andrea Lamorgese & Sauro Mocetti & Paolo Sestito - 489 ITER A quarterly indicator of regional economic activity in Italy
by Valter Di Giacinto & Libero Monteforte & Andrea Filippone & Francesco Montaruli & Tiziano Ropele - 488 Higher multilateral development bank lending, unchanged capital resources and triple-A rating. A possible trinity after all?
by Riccardo Settimo - 487 Allocative Efficiency and Finance
by Andrea Linarello & Andrea Petrella & Enrico Sette - 486 The non-standard monetary policy measures of the ECB: motivations, effectiveness and risks
by Stefano Neri & Stefano Siviero - 485 Sources and implications of resource misallocation: new evidence from firm-level marginal products and user costs
by Simone Lenzu & Francesco Manaresi - 484 Economic and regulatory aspects of crypto-assets
by Andrea Caponera & Carlo Gola - 483 Zombie firms in Italy: a critical assessment
by Giacomo Rodano & Enrico Sette - 482 The determinants of foreign tourism demand: separating elasticities for the extensive and the intensive margin
by Emanuele Breda & Giacomo Oddo - 481 The use of cash in Italy: evidence from the ECB Study on the use of cash by households
by Giorgia Rocco - 480 An early warning system for less significant Italian banks
by Fabrizio Ferriani & Wanda Cornacchia & Paolo Farroni & Eliana Ferrara & Francesco Guarino & Francesco Pisanti - 479 Outline of a redistribution-free debt redemption fund for the euro area
by Marika Cioffi & Pietro Rizza & Marzia Romanelli & Pietro Tommasino - 478 The evolution of the occupational structure in Italy in the last decade
by Gaetano Basso - 477 The euro-area output gap through the lens of a DSGE model
by Lorenzo Burlon & Paolo D'Imperio
2018
- 473 Invoicing currency and exchange rate pass-through: evidence from firm level analysis of Italian firms
by Alessandro Borin & Andrea Linarello & Elena Mattevi & Giordano Zevi - 472 Working in the gig economy. Evidence from the Italian food delivery industry
by Cristina Giorgiantonio & Lucia Rizzica - 471 The Irish GDP in 2016. After the disaster comes a dilemma
by Roberto Tedeschi - 470 Household wealth in Italy and in advanced countries
by Diega Caprara & Riccardo De Bonis & Luigi Infante - 469 How slow is the recovery of loans to firms in Italy?
by Ginette Eramo & Roberto Felici & Paolo Finaldi Russo & Federico Signoretti - 468 EU-UK global value chain trade and the indirect costs of Brexit
by Rita Cappariello & Milan Damjanovic & Michele Mancini & Filippo Vergara Caffarelli - 467 Response burden and data quality in business surveys: the experience of Banca d'Italia
by Marco Bottone & Lucia Modugno & Andrea Neri - 466 Weakness in Italy�s core inflation and the Phillips curve: the role of labour and financial indicators
by Antonio M. Conti & Concetta Gigante - 465 What�s behind firms� inflation forecasts?
by Cristina Conflitti & Roberta Zizza - 464 The taxation of savings: the Italian system and international comparison
by Nicola Branzoli & Giovanna Messina & Elena Pisano & Giacomo Ricotti & Ernesto Zangari - 463 Forecasting house prices in Italy
by Simone Emiliozzi & Elisa Guglielminetti & Michele Loberto - 462 Italian Regions In Global Value Chains: an Input-Output Approach
by Chiara Bentivogli & Tommaso Ferraresi & Paola Monti & Renato Panicci� & Stefano Rosignoli - 461 The Italian "employment-rich" recovery: a closer look
by Giulia Bovini & Eliana Viviano - 460 Labour market conditions and wage inflation in CEE economies
by Simone Auer - 459 The recent evolution of unemployment benefits in Italy
by Federico Giorgi - 458 A Survey of Systemic Risk Indicators
by Antonio Di Cesare & Anna Rogantini Picco - 457 Natural catastrophes and bank lending: the case of flood risk in Italy
by Ivan Faiella & Filippo Natoli - 456 House prices in local markets in Italy: dynamics, levels and the role of urban agglomerations
by Luca Casolaro & Cristina Fabrizi - 455 The effect of the Eurosystem expanded Asset Purchase Programme on inflation expectations: evidence from the ECB Survey of Professional Forecasters
by Guido Bulligan - 454 Italian cities: definitions, characteristics and growth
by Andrea Lamorgese & Andrea Petrella - 453 The tourist tax in the Italian municipalities
by Laura Conti & Elena Gennari & Fabio Quintiliani & Roberto Rassu & Elena Sceresini - 452 Is there strength in unity? Some preliminary evidence on inter-municipal cooperation in Italy
by Stefano Manestra & Giovanna Messina & Anna Peta - 451 Managing sovereign debt restructurings in the euro zone. A note on old and current debates
by Marco Committeri & Pietro Tommasino - 450 Missing Investors in the Italian Corporate Bond Market
by Matteo Accornero & Paolo Finaldi Russo & Giovanni Guazzarotti & Valentina Nigro - 449 The financial structure of Italian start-ups, in good and bad times
by Emilia Bonaccorsi di Patti & Valentina Nigro - 448 Real estate foreclosures: their functioning and the effects of recent reforms
by Silvia Giacomelli & Tommaso Orlando & Giacomo Rodano - 447 Rethinking prices and markets underlying price-competitiveness indicators
by Alberto Felettigh & Claire Giordano - 446 Unwinding external stock imbalances? The case of Italy�s net international investment position
by Valerio Della Corte & Stefano Federico & Enrico Tosti - 445 Magic mirror in my hand�. how trade mirror statistics can help us detect illegal financial flows
by Mario Gara & Michele Giammatteo & Enrico Tosti - 444 Price and cost competitiveness misalignments of the euro area and of its main economies according to a quarterly BEER model, 1999-2017
by Claire Giordano - 443 Knowledge intensive business services and urban areas: an analysis of localization and productivity on Italian data
by valter di Giacinto & Giacinto Micucci & Alessandro Tosoni - 442 Inequality amid income stagnation: Italy over the last quarter of a century
by Andrea Brandolini & Romina Gambacorta & Alfonso Rosolia - 441 Why do banks use derivatives? An analysis of the Italian banking system
by Luigi Infante & Stefano Piermattei & Raffaele Santioni & Bianca Sorvillo - 440 Dealing with corporate crises in a timely way. Notes on the optimal design of an �Early warning and composition system�
by Elisa Brodi