Content
2018
- 439 Looking through cross-border positions in investment funds: evidence from Italy
by Valerio Della Corte & Stefano Federico & Alberto Felettigh - 438 TFP differentials across Italian macro-regions: an analysis of manufacturing corporations between 1995 and 2015
by Emanuele Ciani & Andrea Locatelli & Marcello Pagnini - 437 Mind the mode: lessons from a web survey on household finances
by Romina Gambacorta & Martina Lo Conte & Manuela Murgia & Andrea Neri & Roberta Rizzi & Francesca Zanichelli - 436 Bank profitability and macroeconomic conditions: are business models different?
by Emilia Bonaccorsi di Patti & Francesco Palazzo - 435 Measuring the financial literacy of the adult population: the experience of Banca d�Italia
by Antonietta di Salvatore & Francesco Franceschi & Andrea Neri & Francesca Zanichelli - 434 The impact of the interchange fee regulation on merchants: evidence from Italy
by Guerino Ardizzi & Michele Savini Zangrandi - 433 Gender wealth gap in Italy
by Giovanni D�Alessio - 432 Italian banks and market-based corporate financing
by Giorgio Albareto & Giuseppe Marinelli - 431 The contribution of demography to Italy's economic growth: a two-hundred-year-long story
by Federico Barbiellini Amidei & Matteo Gomellini & Paolo Piselli - 430 Bargaining tools for the resolution of distressed firms: judicial composition with creditors
by Alesssandro Danovi & Silvia Giacomelli & Patrizia Riva & Giacomo Rodano - 429 Estimating the contagion effect through the portfolio channel using a network approach
by Alessandro Schiavone - 428 Wealth inequality in Italy: reconstruction of 1968-75 data and comparison with recent estimates
by Luigi Cannari & Giovanni D�Alessio - 427 The Italian healthcare system: the difficult balance between budget sustainability and the quality of services in Regions subject to Financial Recovery Plan
by Luciana Aimone Gigio & Demetrio Alampi & Silvia Camussi & Giuseppe Ciaccio & Paolo Guaitini & Maurizio Lozzi & Anna Laura Mancini & Eugenia Panicara & Massimiliano Paolicelli - 426 The drop in non-financial firms cost of credit: a cross-country analysis
by Paolo Finaldi Russo & Fabio Parlapiano - 425 A risk dashboard for the Italian economy
by Fabrizio Venditti & Francesco Columba & Alberto Maria Sorrentino - 424 Financial markets effects of ECB unconventional monetary policy announcements
by Guido Bulligan & Davide Delle Monache - 423 Oil prices and inflation expectations
by Cristina Conflitti & Riccardo Cristadoro - 422 Productivity growth in Italy: a tale of a slow-motion change
by Matteo Bugamelli & Francesca Lotti & Monica Amici & Emanuela Ciapanna & Fabrizio Colonna & Francesco D�Amuri & Silvia Giacomelli & Andrea Linarello & Francesco Manaresi & Giuliana Palumbo & Filippo Scoccianti & Enrico Sette - 421 Internal capital markets in Italian business groups: evidence from the financial crisis
by Raffaele Santioni & Ilaria Supino - 420 Corporate liquidity in Italy and its increase in the long recession
by Davide Dottori & Giacinto Micucci - 419 Analyzing the structural transformation of commodity markets: financialization revisited
by Filippo Natoli - 418 Interbank payment system architecture from a cyber security perspective
by Antonino Fazio & Fabio Zuffranieri
2017
- 417 Risks and challenges of complex financial isntruments: an analysis of SSM banks
by Rosario Roca & Francesco Potente & Luca Giulio Ciavoliello & Alessandro Conciarelli & Giovanni Diprizio & Lanfranco Lodi & Roberto Mosca & Tommaso Perez & Jacopo Raponi & Emiliano Sabatini & Antonio Schifino - 416 Recent developments of Italy�s industrial relations system
by Francesco D'Amuri & Raffaella Nizzi - 415 Patterns of convergence (divergence) in the euro area: profitability versus cost and price indicators
by Monica Amici & Emmanuele Bobbio & Roberto Torrini - 414 What does the heterogeneity of the inflation expectations of Italian firms tell us?
by Laura Bartiloro & Marco Bottone & Alfonso Rosolia - 413 Wage growth in the euro area: where do we stand?
by Guido Bulligan & Elisa Guglielminetti & Eliana Viviano - 412 The impact of a new airport on international tourism: the case of Ragusa (Sicily)
by Francesco David & Giuseppe Saporito - 411 Firms� financial surpluses in advanced economies: the role of net foreign direct investments
by Tatiana Cesaroni & Riccardo De Bonis & Luigi Infante - 410 Investing in the electric utilities sector: the implications of carbon risk
by Enrico Bernardini & Johnny Di Giampaolo & Ivan Faiella & Riccardo Poli - 409 Household investments through Italian asset management products
by Andrea Cardillo & Massimo Coletta - 408 Municipal socialism or municipal capitalism? The performance of local public enterprises in Italy
by Nicola Curci & Domenico Depalo & Emilio Vadal� - 407 The price of cyber (in)security: evidence from the Italian private sector
by Claudia Biancotti - 406 Long-run trends in Italian productivity
by Claire Giordano & Gianni Toniolo & Francesco Zollino - 405 Oil price pass-through into core inflation
by Cristina Conflitti & Matteo Luciani - 404 A new measure of households� energy poverty
by Ivan Faiella & Luciano Lavecchia & Marco Borgarello - 403 A critical review of the statistics on the size and riskiness of the securitization market: evidence from Italy and other euro-area countries
by Giorgio Nuzzo - 402 Corruption and personnel selection and allocation in the public sector
by Sauro Mocetti & Tommaso Orlando - 401 Civil justice in Italy: recent trends
by Silvia Giacomelli & Sauro Mocetti & Giuliana Palumbo & Giacomo Roma - 400 Public works procurement in the new code: a legal and economic assessment of the main measures
by Anna Peta - 399 Back on track? A macro-micro narrative of Italian exports
by Matteo Bugamelli & Silvia Fabiani & Stefano Federico & Alberto Felettigh & Claire Giordano & Andrea Linarello - 398 Discretionary fiscal policy in the Euro area: past, present, future
by Francesco Caprioli & Marzia Romanelli & Pietro Tommasino - 397 Legal enforcement and Global Value Chains: micro-evidence from Italian manufacturing firms
by Antonio Accetturo & Andrea Linarello & Andrea Petrella - 396 The dynamics of the Italian labour force participation rate: determinants and implications for the employment and unemployment rate
by Marta De Philippis - 395 A composite index of inflation tendencies in the euro area
by Marcello Miccoli & Marianna Riggi & Lisa Rodano & Laura Sigalotti - 394 BIMic: the Bank of Italy microsimulation model for the Italian tax and benefit system
by Nicola Curci & Marco Savegnago & Marika Cioffi - 393 Towards a more efficient use of multilateral development banks� capital
by Riccardo Settimo - 392 Monetary policy in a low interest rate environment
by Stefano Neri & Giuseppe Ferrero - 391 The total cost of investing in mutual funds
by Giorgio Albareto & Giuseppe Cappelletti & Andrea Cardillo & Luca Zucchelli - 390 Battle scars. New firms� capital, labor, and revenue growth during the double-dip recession
by Francesco Manaresi & Filippo Scoccianti - 389 The derivatives through the lens of the financial accounts: measurement and analysis
by Luigi Infante & Bianca Sorvillo - 388 Incentives to local public service provision: an evaluation of Italy�s Obiettivi di Servizio
by Guglielmo Barone & Guido de Blasio & Alessio D'Ignazio & Andrea Salvati - 387 Debtor-in-possession financing and credit priority: the effects of the preferential status granted by law in a composition with creditors
by Elisa Brodi & Luca Casolaro - 386 The evolution of Italy�s investment income balance
by Giacomo Oddo & Enrico Tosti - 385 Well-being, the socio-economic context and price differences: the North-South gap
by Giovanni D'Alessio - 384 An integrated dataset of Italian firms: 2005-2014
by Andrea Linarello & Corrado C. Abbate & Maria G. Ladu - 383 From few to many: product differentiation in the Italian mortgage market
by Silvia Del Prete & Cristina Demma & Paola Rossi - 382 Real and financial cycles: estimates using unobserved component models for the Italian economy
by Guido Bulligan & Lorenzo Burlon & Davide Delle Monache & Andrea Silvestrini - 381 Brexit: estimating tariff costs for EU countries in a new trade regime with the UK
by Rita Cappariello - 380 New evidence on interregional mobility of students in tertiary education: the case of Italy
by Ilaria De Angelis & Vincenzo Mariani & Roberto Torrini - 379 Household spending out of a tax rebate: Italian ��80 tax bonus�
by Andrea Neri & Concetta Rondinelli & Filippo Scoccianti - 378 The teachers� merry-go-round: job insecurity and staff turnover over the last 2 years
by Gianna Barbieri & Paolo Sestito - 377 Refugees and asylum seekers in Italy and in the EU
by Rosario Maria Ballatore & Adele Grompone & Lucia Lucci & Patrizia Passiglia & Andrea Sechi - 376 The principle of subsidiarity and centripetal forces: 14 years of application of the 2001 Italian constitutional reform
by Cristina Giorgiantonio - 375 Lending-based crowdfunding: opportunities and risks
by Marcello Bofondi - 374 Non-performing loans and the supply of bank credit: evidence from Italy
by Matteo Accornero & Piergiorgio Alessandri & Luisa Carpinelli & Alberto Maria Sorrentino - 373 Cyber attacks: preliminary evidence from the Bank of Italy's business surveys
by Claudia Biancotti - 372 Shadow banking out of the shadows: non-bank intermediation and the Italian regulatory framework
by Carlo Gola & Marco Burroni & Francesco Columba & Antonio Ilari & Giorgio Nuzzo & Onofrio Panzarino - 371 Firms� financial fragility and credit allocation
by Emilia Bonaccorsi di Patti & Paolo Finaldi Russo - 370 The IMF Safety Net and emerging markets' sovereign spreads
by Claudia Maurini
2016
- 369 Indicators of financial vulnerability: a household level study
by Valentina Michelangeli & Cristiana Rampazzi - 368 Fifty years of household income and wealth surveys: history, methods and future prospects
by Alberto Baffigi & Luigi Cannari & Giovanni D�Alessio - 367 What do external statistics tell us about undeclared assets held abroad and tax evasion?
by Valeria Pellegrini & Alessandra Sanelli & Enrico Tosti - 366 The generation gap: a cohort analysis of earnings levels, dispersion and initial labor market conditions in Italy, 1974-2014
by Alfonso Rosolia & Roberto Torrini - 365 Measuring the aggregate effects of simplifying firm creation in Italy
by Guzmán González-Torres - 364 An inquiry into the determinants of the profitability of Italian banks
by Ugo Albertazzi & Alessandro Notarpietro & Stefano Siviero - 363 Foreign holders of Italian government debt securities: new evidence
by Valerio Della Corte & Stefano Federico - 362 An anatomy of Italian cities: evidence from firm-level data
by Andrea Lamorgese & Andrea Petrella - 361 Regulation, tax and capital structure: evidence from administrative data on Italian banks
by Steve Bond & Kyung Yeon Ham & Giorgia Maffini & Andrea Nobili & Giacomo Ricotti - 360 Integrating stress tests within the Basel III capital framework: a macroprudentially coherent approach
by Pierluigi Bologna & Anatoli Segura - 359 Bank bonds in Italian households� portfolios
by Massimo Coletta & Raffaele Santioni - 358 The financial systems in Russia and Turkey: recent developments and challenges
by Simone Auer & Emidio Cocozza & Andrea COlabella - 357 Tax evasion, firm dynamics and growth
by Emmanuele Bobbio - 356 Collateral in Italy: a legal and economic analysis of privileges, pledges and mortgages
by Elisa Brodi - 355 Has the wage Phillips curve changed in the euro area?
by Guido BUlligan & Eliana Viviano - 354 Academic enrolment, careers and student mobility in Italy
by Ilaria De Angelis & Vincenzo Mariani & Francesca Modena & Pasqualino Montanaro - 353 Productivity and reallocation: evidence from the universe of Italian firms
by Andrea Linarello & Andrea Petrella - 352 Determinants of exports: firm heterogeneity and local context
by Pietro de Matteis & Filomena Pietrovito & Alberto Franco Pozzolo - 351 Spillovers of the ECB's non-standard monetary policy into CESEE economies
by Alessio Ciarlone & Andrea Colabella - 350 The evolution of bad debts in Italy during the global financial crisis and the sovereign debt crisis: a counterfactual analysis
by Alessandro Notarpietro & Lisa Rodano - 349 Capital and labour (mis)allocation in the euro area: Some stylized facts and determinants
by Elisa Gamberoni & Claire Giordano & Paloma Lopez-Garcia - 348 The house price gradient: evidence from Italian cities
by Elisabetta Manzoli & Sauro Mocetti - 347 Leverage ratio, central bank operations and repo market
by Annalisa Bucalossi & Antonio Scalia - 346 Adjusting the external adjustment: cyclical factors and the Italian current account
by Silvia Fabiani & Stefano Federico & Alberto Felettigh - 345 The distribution of public employees in Italy: role and functions of mobility
by Francesco D�Amuri & Cristina Giorgiantonio - 344 Economic governance in the euro area: balancing risk reduction and risk sharing
by Fabrizio Balassone & Sara Cecchetti & Martina Cecioni & Marika Cioffi & Wanda Cornacchia & Flavia Corneli & Gabriele Semeraro - 343 Why go public? A study of the individual determinants of public sector employment choice
by Lucia Rizzica - 342 Incentives and selection in public employment
by Cristina Giorgiantonio & Tommaso Orlando & Giuliana Palumbo & Lucia Rizzica - 341 Currency co-movements in Asia-Pacific: the regional role of the renminbi
by Daniela Marconi - 340 Allocative efficiency and aggregate wage dynamics in Italy
by Effrosyni Adamopoulou & Emmanuele Bobbio & Marta De Philippis & Federico Giorgi - 339 Innovative start-ups in Italy: their special features and the effects of the 2012 law
by Paolo Finaldi Russo & Silvia Magri & Cristiana Rampazzi - 338 Wage rigidities and business cycle fluctuations: A linked employer-employee analysis
by Effrosyni Adamopoulou & Emmanuele Bobbio & Marta De Philippis & Federico Giorgi - 337 Economic reforms in China and India: past and future challenges
by Alessandro Borin & Enrica Di Stefano - 336 Market shares in manufacturing value-added: is the picture different?
by Alberto Felettigh & Giacomo Oddo - 335 Financial literacy of Italian teens and family�s background: evidence from PISA 2012
by Pasqualino Montanaro & Angela Romagnoli - 334 Offshore RMB markets in Europe: prospects for greater financial integration between Europe and China
by Daniela Marconi & Lorenzo Bencivelli & Anna Marra & Alessandro Schiavone & Raffaele Tartaglia-Polcini - 333 House prices in Italy, 1927-2012
by Luigi Cannari & Giovanni D�Alessio & Giovanni Vecchi - 332 Remittances of foreign workers in Italy: an estimation of invisible flows in the "informal channel"
by Giacomo Oddo & Maurizio Magnani & Riccardo Settimo & Simonetta Zappa - 331 Is corruption efficiency-enhancing? A case study of nine Central and Eastern European countries
by Elisa Gamberoni & Christine Gartner & Claire Giordano & Paloma Lopez-Garcia - 330 Purchases of sovereign debt securities by Italian banks during the crisis: the role of balance-sheet conditions
by Massimiliano Affinito & Giorgio Albareto & Raffaele Santioni - 329 Using external sources to understand sample survey bias: the case of the Invind survey
by Leandro D�Aurizio & Giuseppina Papadia - 328 Monetary aggregates in Italy since 1861: evidence from a new dataset
by Federico Barbiellini Amidei & Riccardo De Bonis & Miria Rocchelli & Alessandra Salvio & Massimiliano Stacchini - 327 Foreign direct investment and international trade in services: an analysis based on balance of payments microdata
by Chiara Bentivogli & Francesco Bripi & Andrea Carboni & Luca Cherubini & Eleonora Laurenza & Andrea Locatelli & Paola Monti & Elisabetta Nencioni & Valeria Pellegrini & Diego Scalise - 326 Easier said than done? Reforming the prudential treatment of banks� sovereign exposures
by Michele Lanotte & Giacomo Manzelli & Anna Maria Rinaldi & Marco Taboga & Pietro Tommasino - 325 Hiring incentives and/or firing cost reduction? Evaluating the impact of the 2015 policies on the Italian labour market
by Paolo Sestito & Eliana Viviano - 324 When local banks lend to local communities: evidence from Italy (2007-2014)
by Maria Lucia Stefani & Valerio Vacca & Daniele Coin & Silvia Del Prete & Cristina Demma & Maddalena Galardo & Iconio Garri & Sauro Mocetti & Dario Pellegrino - 323 Assessing financial stability risks from the real estate market in Italy
by Federica Ciocchetta & Wanda Cornacchia & Roberto Felici & Michele Loberto - 322 Stitching together the global financial safety net
by Edd Denbee & Carsten Jung & Francesco Patern� - 321 The evolution of the anchoring of inflation expectations
by Ines Buono & Sara Formai - 320 Short-term employment forecasts based on administrative data on hirings and terminations
by Fabrizio Colonna - 319 Over-indebtedness in Italy: how widespread and persistent is it?
by Giovanni D'Alessio & Stefano Iezzi - 318 Labour, profit and housing rent shares in Italian GDP: long-run trends and recent patterns
by Roberto Torrini - 317 Firms that went out of business during the crisis
by Sabrina Ferretti & Andrea Filippone & Giacinto Micucci - 316 The �Concordato preventivo� in Italian corporate bankruptcy law: a policy evaluation
by Claudio Castelli & Giacinto Micucci & Giacomo Rodano & Guido Romano - 315 With (more than) a little help from my bank. Loan-to-value ratios and access to mortgages in Italy
by Danilo Liberati & Valerio Vacca - 314 The tax burden on banks over the period 2006-2014
by Giacomo Ricotti & Marco Burroni & Vincenzo Cuciniello & Elena Padovani & Elena Pisano & Stefania Zotteri - 313 Local policies for innovation: the case of technology districts in Italy
by Federica Bertamino & Raffaello Bronzini & Marco De Maggio & Davide Revelli - 312 Internal controls in the Public Administration: current problems and future challenges
by Anna Peta - 311 The management of non-performing loans: a survey among the main Italian banks
by Luisa Carpinelli & Giuseppe Cascarino & Silvia Giacomelli & Valerio Vacca - 310 Incentives and evaluation of public managers in Italy
by Roberta Occhilupo & Lucia Rizzica - 309 E-Government in Italy: current issues and future perspectives
by Carlo Maria Arpaia & Pasquale Ferro & Walter Giuzio & Giorgio Ivaldi & Daniela Monacelli - 308 The debt of Italian non-financial firms: an international comparison
by Antonio De Socio & Paolo Finaldi Russo - 307 Investment and investment financing in Italy: some evidence at the macro level
by Claire Giordano & Marco Marinucci & Andrea Silvestrini - 306 Euro area significant banks: main differences and recent performance
by Emilia Bonaccorsi di Patti & Roberto Felici & Federico Maria Signoretti - 305 Determinants of the movements in the euro-dollar exchange rate during the sovereign debt crisis
by Alessio Anzuini & Martina Cecioni & Stefano Neri - 304 Value Chains and the Great Recession: Evidence from Italian and German Firms
by Antonio Accetturo & Anna Giunta - 302 An inquiry into manufacturing capacity in Italy after the double-dip recession
by Libero Monteforte & Giordano Zevi - 301 How does multinational production affect the measurement of competitiveness?
by Stefano Federico
2015
- 300 Prudential policy at times of stagnation: a view from the trenches
by Piergiorgio Alessandri & Fabio Panetta - 299 Finance and creative destruction: evidence for Italy
by Francesca Lotti & Francesco Manaresi - 298 Net employment growth by firm size and age in Italy
by Francesco Manaresi - 297 Why do firms hire on a fixed-term basis? Evidence from longitudinal data
by Fabrizio Colonna & Giulia Giupponi - 296 The big oil glut: U.S. shale revolution and OPEC countermoves
by Riccardo Cristadoro & Virginia Di Nino & Laura Painelli - 295 Trade debts of Italian general government: an unsolved problem
by Leandro D�Aurizio & Domenico Depalo & Sandro Momigliano & Emilio Vadal� - 294 Crime and public procurement, evidence from municipalities
by Giuseppe Albanese & Federico Antellini Russo & Roberto Zampino - 293 Modelling Italian firms� financial vulnerability
by Andonio De Socio & Valentina Michelangeli - 292 Measuring the performance of local governments: evidence from mystery calls
by Silvia Giacomelli & Marco Tonello - 291 Financial support from the family network during the crisis
by Laura Bartiloro & Cristiana Rampazzi - 290 The growth of the service sector and demand for services
by Eliana Viviano - 289 Wages and prices in Italy during the crisis: the firms� perspective
by Francesco D�Amuri & Silvia Fabiani & Roberto Sabbatini & Raffaele Tartaglia Polcini & Fabrizio Venditti & Eliana Viviano & Roberta Zizza - 288 The statistics on poverty and the new World Bank goals of poverty eradication and shared prosperity
by Riccardo Settimo - 287 On the response of Italian wages to the unemployment rate
by Alfonso Rosolia - 286 Risk-adjusted expectations of inflation
by Marco Casiraghi & Marcello Miccoli - 285 Red tape reduction and firm entry: evidence from an Italian reform
by Monica Amici & Silvia Giacomelli & Francesco Manaresi & Marco Tonello - 284 Trading processing for goods:a different view from the past on Italian trade flows?
by Ludovico Bracci & Silvia Fabiani & Alberto Felettigh - 283 Investment Dynamics in Italy: Financing Constraints, Demand and Uncertainty
by Steve Bond & Gicoamo Rodano & Nicolas Serrano-Velarde - 282 Deindustrialization and tertiarization: structural changes in North West Italy
by Antonio Accetturo & Luciana Aimone & Enrico Beretta & Silvia Camussi & Luigi Cannari & Daniele Coin & Laura Conti & Roberto Cullino & Alessandro Fabbrini & Cristina Fabrizi & Giovanni Iuzzolino & Alessandra Mori & Elisabetta Olivieri & Andrea Orame & Anna Laura Mancini & Elena Mattevi & Paolo Piselli & Davide Revelli & Paola Rossi & Diego Scalise & Alessandra Staderini & Giulia Martina Tanzi & Valerio Vacca - 281 �The phenomenal CAT�: firms clawing the goods of others
by Virginia Di Nino - 280 Reassessing Price-Competitiveness Indicators of the Four Largest Euro-Area Countries and of their Main Trading Partners
by Alberto Felettigh & Claire Giordano & Giacomo Oddo & Valentina Romano - 279 The impact of lower oil prices on energy expenditure and economic activity
by Ivan Faiella & Alessandro Mistretta - 278 A note on the implementation of the countercyclical capital buffer in Italy
by Piergiorgio Alessandri & Pierluigi Bologna & Roberta Fiori & Enrico Sette - 277 Gold as a safe haven asset? Empirical evidence from a comparison of different financial assets
by Franco Panfili & Francesco Daini & Francesco Potente & Giuseppe Reale - 276 Main drivers of the recent decline in Italy�s non-construction investment
by Fabio Busetti & Claire Giordano & Giordano Zevi - 275 Changing prices ... changing times: evidence for Italy
by Silvia Fabiani & Mario Porqueddu - 274 Deflation expectations and Japan's lost decade
by Roberto Piazza - 273 How the time of interviews affects estimates of income and wealth
by Giovanni D�Alessio & Stefano Iezzi - 272 Income and wealth sample estimates consistent with macro aggregates: some experiments
by Giovanni D'Alessio & Andrea Neri - 271 Macroprudential policies: a discussion of the main issues
by Paolo Angelini - 270 The Eurosystem�s asset purchase programmes for monetary policy purposes
by Pietro Cova & Giuseppe Ferrero - 269 First-time corporate bond issuers in Italy
by Matteo Accornero & Paolo Finaldi Russo & Giovanni Guazzarotti & Valentina Nigro - 268 Is deflation good or bad? Just mind the inflation gap
by Marco Casiraghi & Giuseppe Ferrero - 267 Italian students� performance in the PISA digital test
by Pasqualino Montanaro & Paolo Sestito - 266 Estimating the effects of a credit supply restriction: is there a bias in the Bank Lending Survey?
by Andrea Nobili & Andrea Orame - 265 Inflation surprises and inflation expectations in the euro area
by Marcello Miccoli & Stefano Neri - 264 Bank localism and financial crisis
by Cristina Demma - 263 The real estate market, the supply chain and credit: the effects of the great recession
by Cristina Fabrizi & Raffaella Pico & Luca Casolaro & Mariano Graziano & Elisabetta Manzoli & Sonia Soncin & Luciano Esposito & Giuseppe Saporito & Tiziana Sodano - 262 The market for corporate debt private placements
by Nicola Branzoli & Giovanni Guazzarotti - 261 The Italian Firms� International Activity
by Riccardo Cristadoro & Leandro D�Aurizio - 260 The internationalization of the Italian productive system
by Riccardo Cristadoro & Stefano Federico - 259 Tracking banks' systemic importance before and after the crisis
by Piergiorgio Alessandri & Sergio Masciantonio & Andrea Zaghini - 258 Easier said than done: the divergence between soft and hard data
by Antonio M. Conti & Concetta Rondinelli - 257 Medium-term forecasting of euro-area macroeconomic variables with DSGE and BVARX models
by Lorenzo Burlon & Simone Emiliozzi & Alessandro Notarpietro & Massimiliano Pisani - 256 Assessing potential growth in emerging countries after the global financial crisis
by Enrica Di Stefano & Daniela Marconi - 255 Financial shocks and the real economy in a nonlinear world: a survey of the theoretical and empirical literature
by Andrea Silvestrini & Andrea Zaghini
2014
- 254 A feasible unemployment-based shock absorber for the Euro Area
by Andrea Brandolini & Francesca Carta & Francesco D'Amuri - 253 Accounting for total work
by Andrea Brandolini & Eliana Viviano - 252 Deflationary shocks and de-anchoring of inflation expectations
by Fabio Busetti & Giuseppe Ferrero & Andrea Gerali & Alberto Locarno - 251 Do firm-bank relationships affect firms' internationalization?
by Riccardo De Bonis & Giovanni Ferri & Zeno Rotondi - 250 Beyond the acronyms: local property taxation in Italy
by Giovanna Messina & Marco Savegnago - 249 The World Bank's procurement competition and the Italian construction industry
by Michele Benvenuti & Luca Casolaro & Tindaro Paganini & Umberto Viviani - 248 Domestic and foreign sales: complements or substitutes?
by Matteo Bugamelli & Eugenio Gaiotti & Eliana Viviano - 247 How the labour market evaluates Italian universities
by Emanuele Ciani & Vincenzo Mariani - 246 Regional policies to foster firms' innovation activity
by Francesca Lotti & Maria Lucia Stefani - 245 Just round the corner? Pros, cons, and implementation issues of a fiscal union for the euro area
by Fabrizio Balassone & Sandro Momigliano & Marzia Romanelli & Pietro Tommasino - 244 The role of leverage in firm solvency: evidence from bank loans
by Emilia Bonaccorsi di Patti & Alessio D�Ignazio & Marco Gallo & Giacinto Micucci - 243 Foreign direct investment and multinational firms
by Alessandro Borin & Riccardo Cristadoro - 242 Inflation, debt and the zero lower bound
by Stefano Neri & Alessandro Notarpietro - 241 The household credit market after five years of crisis: evidence from the survey on income and wealth
by Silvia Magri & Raffaella Pico