Banca Italia - Servizio di Studi
Papers
Contact information of Banca Italia - Servizio di Studi:
Postal: Banca d'Italia-Servizio Studi-Divisione Biblioteca e Pubblicazioni - Via N azionale, 91 -00184 Rome, Italy.
Web page: http://www.bancaditalia.it/
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Series handle: repec:fth:banita
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2000
- 391 Expectations and Information in Second Generation Currency Crises Models
by Sbracia, M. & Zaghini, A. - 389 The Monetary Transmission Mechanism: Evidence from the Industries of Five OECD Countries
by Dedola, L. & Lippi, F. - 387 The Multimarket Contacts Theory: An Application to Italian Banks
by De Bonis, R. & Ferrando, A. - 386 Revisiting the Case for a Populist Central Banker
by Lippi, F. - 385 Testing for Stochastic Trends in Series with Structural Breaks
by Busetti, F. - 384 Will a Common European Monetary Policy Have Asymmetric Effects?
by Guiso, L. & Kashyap, A.K. & Panetta, F. & Terlizzese, D. - 383 (Fractional) Beta Convergence
by Michelacci, C. & Zaffaroni, P. - 382 Endogenous Growth with Intertemporally Dependent Preferences
by Ferraguto, G. & Pagano, P. - 381 The Determinants of Cross-Border Bank Share holdings: an Analysis with Bank-Level Data from OECD Countries
by Focarelli, D. & Pozzolo, A.F. - 380 Bank Competition and Regulatory Reform: The Case of the Italian Banking Industry
by Angelini, P. & Cetorelli, N. - 379 Promise and Pitfalls in the Use of 'Secondary' Data -Sets: Income Inequality in OECD Countries
by Atkinson, A.B. & Brandolini, A. - 378 Stock Values and Fundamentals: Link or Irrationality?
by Fornari, F. & Pericoli, M. - 377 The Italian Business Cycle: Coincident and Leading Indicators and Some Stylized Facts
by Altissimo, F. & Marchetti, D.J. & Oneto, G.P. - 376 Do Better Institutions Mitigate Agency Problems? Evidence from Corporate Finance Choices
by Giannetti, M. - 375 Emu Fiscal Rules: is There a Gap?
by Balassone, F. & Manacelli, D. - 374 Strategic Monetary Policy with Non-Atomistic Wage-Setters
by Lippi, F. - 372 Investment and Growth in Europe and in the United States in the Nineties
by Caselli, P. & Pagano, P. & Schivardi, F. - 371 The Seasonal Adjustment of the Harmonised Index of Consumer Prices for the Euro Area: a Comparaison of Derect and Indirect Methods
by Cristadoro, R. & Sabbatini, R. - 370 Forecasting Industrial Production in the Euro Area
by Bodo, G. & Golinelli, R. & Parigi, G. - 369 Banking System, International Investors and Central Bank Policy in Everging Markets
by Giannetti, M. - 368 Information Spillovers and Factor Adjustment
by Guiso, L. & Schivardi, F. - 367 An Investment-Function-Based Measure of Capacity Utilisation. Potential Output and Utilised Capacity in the Bank of Italy's Quarterly Model
by Parigi, G. & Siviero, S. - 366 On the Mechanics of Migration Decisions: Skill Complementarities and Endogenous Price Differentials
by Giannetti, M. - 365 Labor Markets and Monetary Union: a Strategic Analysis
by Cukierman, A. & Lippi, F.
1999
- 363 The Transmission of Monetary Policy Shocks in Italy, 1967-1997
by Gaiotti, E. - 362 Markup and the Business Cycle: Evidence from Italian Manufacturing Branches
by Marchetti, D.J. - 361 Why do Banks Merge?
by Focarelli, D. & Panetta, F. & Salleo, C. - 359 Does Market Transparency Matter? A Case Study
by Vacca, V. & Scalia, A. - 357 Are Model-Based Inflation Forecasts Used in Monetary Policymaking? A Case Study
by Siviero, S. & Terlizzese, D. & Visco, I. - 356 What Is the Optimal Institutional Arrangement for a Monetary Union?
by Gambacorta, L. - 355 The Economic Policy of Fiscal Consolidations: The European Experience
by Zaghini, A. - 354 How Deep Are the Deep Parameters?
by Altissimo, F. & Siviero, S. & Terlizzese, D. - 353 Is there an Equity Premium Puzzle in Italy? A Look at Asset Returns, Consumption and Financial Structure Data Over the Last Century
by Panetta, F. & Violi, R. - 351 Median Voter Preferences, Central Bank Independence and Conservatis
by Lippi, F. - 350 The Distribution of Personal Income in Post-War Italy: Source Description, Date Quality, and the Time Pattern of Income Inequality
by Brandolini, A. - 347 Industrial Districts and Local Banks: Do the Twins Ever Meet?
by Baffigi, A. & Pagnini, M. & Quintiliani, F.
1998
- 345 Reallocation and Learning Over the Business Cycle
by Schivardi, F. - 344 Investment and the Exchange Rate
by Nucci, F. & Pozzolo, A.F. - 343 What Caused the Asian Currency and Financial Crisis?
by Corsetti, G. & Pesenti, P. & Roubini, N. - 342 Energy Consumption, Survey Data and the Prediction of Industrial Production in Italy
by Marchetti, D.J. & Parigi, G. - 341 "Enemy of None but a Common Friend of All"? An International Perspective on the Lender-of-Last-Resort Function
by Giannini, C. - 340 Heterogeneous "Credit Channels" and Optimal Monetary Policy in a Monetary Union
by Gambacorta, L. - 339 The Probability Density Function of Interest Rates Implied in the Price of Options
by Fornari, F. & Violi, R. - 338 Nonlinear VAR: Some Theory and an Application to the US GNP and Unemployment
by Altissimo, F. & Violante, G.L. - 336 Fiscal Consolidations Under Fixed Exchange Rates
by Caselli, P. - 335 Signaling Fiscal Regime Sustainability
by Drudi, F. & Prati, A. - 332 Central Bank Independence, Centralization of Wage Bargaining, Inflation and Unemployment: Theory and Evidence
by Cukierman, A. & Lippi, F. - 331 Research and Development, Regional Spillovers, and the Location of Economic Activities
by Pozzolo, A.F. - 326 Adverse Selection of Investment Projects and the Business Cycle
by Reichlin, P. & Siconolfi, P. - 325 Style, Fees and Performance of Italian Equity Funds
by Cesari, R. & Panetta, F.
1997
- 324 Properties of the Monetary Conditions Index
by Grande, G. - 323 Education, Infrastructure, Geography and Growth: An Empirical Analysis of the Development of Italian Provinces
by Fabiani, S. & Pellegrini, G. - 322 Long-Term Interest Rate Convergence in Europe and the Probability of EMU
by Angeloni, I. & Violi, R. - 321 Finance, Human Capital and Infrastructure: An Empirical Investigation of Post-War Italian Growth
by Ferri, G. & Mattesini, F. - 320 Wherein Do the European and American Models Differ?
by Samuelson, P.A. - 317 Sensitivity of VAR Measures to Different Risk Models
by Drudi, F. & Generale, A. & Majnoni, G. - 313 The Seasonality of the Italian Cost-of-Living Index
by Cubadda, G. & Sabbatini, R. - 312 Credibility without Rules? Monetary Frameworks in the Post-Bretton Woods Era
by Cottarelli, C. & Giannini, C. - 310 Inflation and Monetary Policy in Italy: Some Recent Evidence
by Gaiotti, E. & Gavosto, A. & Grande, G. - 309 The Effects of Technology Shocks on Output Fluctuations: An Impulse Response Analysis for the G7 Countries
by Fabiani, S.
1996
- 292 Where Do Migrants Go? Risk-Aversion, Mobility Costs and the Locational Choice of Migrants. Wage Indexation Bargaining and Inflation
by Drudi, F & Giordano, R - 290 Where Do Migrants Go? Risk-Aversion, Mobility Costs and the Locational Choice of Migrants
by Daveri, F & Faini, R - 289 Investment and Demand Uncertainty
by Guiso, L. & Parigi, G. - 285 Micro Enterprise and Macro Policy
by Townsend, R. - 284 Background UNcertainty and the Demand for Insurance Against Insurable Risks
by Guiso, L. & Jappelli, T. - 282 The Equity Premium Is No Puzzle
by Kurz, M. & Beltratti, A. - 281 Coordination and Correlation in Markov Rational Belief Equilibria
by Kutz, M. & Schneider, M. - 280 Why Banks Have a Future: An Economic Rationale
by Rajan, R.G. - 276 Monetary Policy Transmission, the Exchange Rate and Long-Term Yields under Different Hypothesis on Expectations
by Gaiotti, E. & Nicoletti-Altimari, S. - 275 Intergenerational Transfers, Borrowing Constraints and the Timing of Home Ownership
by Guiso, L. & Jappelli, T. - 273 Monitoring, Liquidation, and Security Design
by Repullo, R. & Suarez, J. - 272 Institutions and Labor Reallocation
by bertola, G. & Rogerson, R. - 270 Maximisation and the Act of Choice
by Sen, A. - 269 Do Measures of Monetary Policy in a VAR Make Sense?
by Rudebusch, G.D. - 268 Asset Pricing Lessons for Modeling Business Cycles
by Boldrin, M. & Christiano, L.J. & Fischer, J.D.M. - 267 Money Demand in Italy: A System Approach
by Rinaldi, R. & Tedeschi, R. - 266 Are Banks Risk-Averse? A Note on the Timing of Operations in the Interbank Market
by Angelini, P. - 264 Stock Prices and Money Velocity: A Multi-Country Analysis
by Caruso, M. - 263 Share Prices and Trading Volume: Indications of Stock Exchange Efficiency
by Massa, M. & Majnoni, G. - 262 National Saving and Social Security in Italy (1954-1993)
by Rossi, N. & Visco, I. - 261 Debt Restructuring with Multiple Creditors and the Role of Exchange Offers
by Detragiache, E. & Garella, P.G.
1995
- 257 Which Target for Monetary Policy in Stage Three? Issues in the Shaping of the European Payment System
by Giannini,C. & Monticelli,C. - 256 The Credit Channel of Policy Across Heterogeneous Banks:the Case of Italy
by Angeloni,I. & Buttiglione,L. & Ferri,G. & Gaiotti,E. - 252 The Effect of Liquidity Constraints on Consumptionand Labour Supply: Evidence from Italian Households
by Nicoletti-Altimari, S. & Thompson, M.D. - 251 Sign- and Volatility -Switching ARCH Models: Theory and Applications to International Stock Markets
by Fornari, F. & Mele, A. - 250 The 1992-93 EMS Crisis: Assessing the Macroeconomic Costs
by Smaghi, L.B. & Tristani, O. - 250-2 Western Europe in Transition: The Impact of the Opening Up of Eastern Europe and the Former Soviet Union
by De Fontenay, P. & Gomel, G. & Hochreiter, E. - 250-1 Western Europe in Transition. The Impact of the Opening Up of eastern Europe and the Former Soviet Union
by De Fontenay, P. & Gomel, G. & Hochreiter, E.
1994
- 278 Real Interest Rates, Sovereign Risk and Optimal Debt Management
by Drudi, F. & Giordano, R. - 246 Change of Ownership: Incentives and Rules
by Zingales, L. - 236 Alternative Estimators of the Cox, ingersoll and Ross Model of the Term Structure of Interest Rates: A Monte Carlo Comparison
by Bianchi, C. & Cesari, R. & Panattoni, L.
1993
- 219 An Econometric Analysis of Money Demand in Italy
by Angelini, P. & Hendry, D.F. & Rinaldi, R. - 218 Actual and "Normal" Inventories of Finished Goods: Qualitative and Quantitative Evidence from the Italian Manufacturing Sector
by Sestito, P. & Visco, I. - 215 Testing Stationarity of Economic Time Series: Further Monte Carlo Evidence
by Schlitzer, G. - 214 Monetary Coordination under an Exchange Rate Adjustment Agreement and the Optimal Monetary Instrument
by Monticelli, C. - 211 Business Cycles in Italy: A Retrospective Investigation
by Schlitzer, G. - 209 Debt Stabilization Under Fiscal Regime Uncertainty
by Prati, A. & Drudi, F. - 207 A Assessment of Systemic Risk in Italian Clearing System
by Angelini, P. & Russo, D. - 199 Liquidity Effects and the Determinants of Short-Term Interest Rates in Italy
by Angelini, I. & Prati, A. - 193 On the Economics of Interbank Payment Systems
by Angelini, P. & Giannini, C. - 188 Industrial Countries'Protectionism with Respect to Eastern Europe: The Impact of the Association Agreement Concluded with the Ec on the Exports of Poland, Czechoslovakia and Hungary
by Mastropasqua, C. & Rolli, V. - 187 Rating the EC as an Optimal Currency Area
by Smaghi, L.B. & Area, C.
1992
- 186 Convergence of Inflation, Prerequisite for EMU
by Smaghi, L.B. & Del Giovane, P. - 185 Risk Sharing and Precautionary Saving
by Guiso, L. & Jappelli, T. - 184 Durables and Nondurables Consumption: Edidence from Italian Household Data
by Brugiavini, A. & Weber, G. - 181 Mean Reversion Tests with Reflecting Barriers: An Application to European Monetary System Exchange Rates
by Ball, C.A. & Roma, A. - 179 Implementing Stochastic optimal Control of Nonlinear Models: A Comparison with Alternative Solution Methods
by Cividini, A. & Siviero, S. - 178 Private Savings and Government Deficit in Italy (1951-1990)
by Rossi, N. & Visco, I. - 171 Generational Accounting : The Case of Italy
by Franco, D. & Gokhale, J. & Guiso, L. & Kotlikoff, L.J. & Sartor, N. - 170 Finance and Development : the Case of Southern Italy
by Faini, R. & Galli, G. & Giannini, C. - 169 Income and Saving in Italy : A reconstruction: 1. Income Accounts by Institutional Sector, 2. The Italian Saving Rate: 1951 to 1990 Estimates
by Pagliono, P. & Rossi, N. - 168 Waiting for EMU : Living with Monetary Policy Asymmetries in the EMS
by Smaghi, B.L. - 167 Why is Italy Saving Rate so High?
by Guiso, L. & Jappelli, T. & Terlizzese, D. - 166 The Macroeconomics amd Macroeconomics of the Permanent Income Hypothesis
by Deaton, A. - 165 Bequests and Saving for Retirement. What Impels the Accumulation of Wealth
by Barca, F. & Cannari, L. & Guiso, L. - 164 Young Household's Saving and the Life Cycle of Opportunities. Evidence from Japan and Italy
by Ando, A. & Guiso, L. & Terlizzese, D. - 163 Cross-Border Deposits and Monetary Aggregates in the Transition to EMU
by Angeloni, I. & Cottarelli, C. & Levy, A. - 162 Monetary Aggregates and Monetary Policy Coordination on the Way to Economi c and Monetary Union: The Role of Cross-Border Deposits
by Giucca, P. & Levy, A. - 161 Earning Uncertainty and Precautionary Saving
by Giucca, P. & Jappelli, T. & Terlizzese, D.

