Content
1998
- 332 Central Bank Independence, Centralization of Wage Bargaining, Inflation and Unemployment: Theory and Evidence
by Alex Cukierman & Francesco Lippi - 331 Research and Development, Regional Spillovers, and the Location of Economic Activities
by Alberto Pozzolo - 330 The problem of increasing fragility in the “financial instability hypothesis” from a Kaleckian perspective
by Gennaro Corbisiero - 329 Results and problems of five years of incomes policy: an initial quantitative evaluation
by Silvia Fabiani & Alberto Locarno & Gianpaolo Oneto & Paolo Sestito - 328 The Behaviour of the Dollar and Exchange Rates in Europe: Empirical Evidence and Possible Explanations
by Paolo del Giovane & Alberto Franco Pozzolo - 327 International Risk Sharing and European Monetary Unification
by Bent E. S�rensen & Oved Yosha - 326 Adverse Selection of Investment Projects and the Business Cycle
by Pietro Reichlin & Paolo Siconolfi - 325 Style, Fees and Performance of Italian Equity Funds
by Riccardo Cesari & Fabio Panetta
1997
- 317 Sensitivity of VaR measures to different risk models
by Francesco Drudi & Andrea Generale & Giovanni Majnoni - 315 Tassi bancari attivi e struttura finanziaria in Italia: un'analisi empirica
by Carlo Cottarelli & Giovanni Ferri & Andrea Generale
1996
- 265 Il recupero dei crediti: costi, tempi e comportamenti delle banche
by Andrea Generale & Giorgio Gobbi
1994
- 231 Un’analisi empirica della relazione tra tassi del mercato interno e dell’eurolira
by Chiara Bentivogli & Andrea Generale - 227 Un’analisi empirica della relazione tra tassi del mercato interno e dell’eurolira
by Giovanni Ferri & Andrea Generale
Undated
- 1328 Board composition and performance of state-owned enterprises: Quasi-experimental evidence
by Audinga Baltrunaite & Mario Cannella & Sauro Mocetti & Giacomo Roma
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