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Central Bank Research Hub - Bank of Italy Working Papers



The EAGLE. A model for policy analysis of macroeconomic interdependence in the euro area (JEL C53, E32, E52, F47)

by Sandra Gomes, Pascal Jacquinot and Massimiliano Pisani770
(Jul 2010)
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Does investing abroad reduce domestic activity? Evidence from Italian manufacturing firms (JEL F2, J0, L6)

by Raffaello Bronzini769
(Jul 2010)
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The effect of age on portfolio choices: evidence from an Italian pension fund (JEL G21, G23)

by Giuseppe Cappelletti, Giovanni Guazzarotti and Pietro Tommasino768
(Jul 2010)
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Real time forecasts of inflation: the role of financial variables (JEL C13, C51, C53, E37, G19)

by Libero Monteforte and Gianluca Moretti767
(Jul 2010)
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With a little help from abroad: the effect of low-skilled immigration on the female labor supply (JEL J22, J61)

by Guglielmo Barone and Sauro Mocetti766
(Jul 2010)
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Information uncertainty and the reaction of stock prices to news (JEL G11, G14)

by Paolo Angelini and Giovanni Guazzarotti765
(Jul 2010)
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Disentangling demand and supply in credit developments: a survey-based analysis for Italy (JEL E30, E32, E51)

by Paolo Del Giovane, Ginette Eramo and Andrea Nobili764
(Jun 2010)
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Debt restructuring and the role of lending technologies (JEL G21, G33, L2, O3)

by Giacinto Micucci and Paola Rossi763
(Jun 2010)
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A public guarantee of a minimum return to defined contribution pension scheme members (JEL D10, G23, H55, J14)

by Giuseppe Grande and Ignazio Visco762
(Jun 2010)
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The determinants of teacher mobility. Evidence from a panel of Italian teachers (JEL I20, I21, I28, J45, J61)

by Gianna Barbieri, Claudio Rossetti and Paolo Sestito761
(Jun 2010)
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Switching costs in local credit markets (JEL G21, L13)

by Guglielmo Barone, Roberto Felici and Marcello Pagnini760
(Jun 2010)
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Financial innovation and risk: the role of information (JEL E32, G01, G14, G33)

by Roberto Piazza759
(Jun 2010)
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A non-parametric model-based approach to uncertainty and risk analysis of macroeconomic forecasts

by Claudia Miani and Stefano Siviero758
(Apr 2010)
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A note on rationalizability and restrictions on belief

by Giuseppe Cappelletti757
(Apr 2010)
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Credit supply, flight to quality and evergreening: an analysis of bank-firm relationships after Lehman

by Ugo Albertazzi and Domenico J. Marchetti756
(Apr 2010)
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Information technology and banking organization (JEL L22, M54, O33)

by Sauro Mocetti, Marcello Pagnini and Enrico Sette, March 2010.752
(Mar 2010)
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Down the non-linear road from oil to consumer energy prices: no much asymmetry along the way (JEL C52, E31, Q43)

by Fabrizio Venditti, March 2010751
(Mar 2010)
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Estimating DSGE models with unknown data persistence (JEL C51, C53, E37)

by Gianluca Moretti and Giulio Nicoletti, March 2010750
(Mar 2010)
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Asset-based measurement of poverty (JEL D13, I32)

by Andrea Brandolini, Silvia Magri and Timothy M. Smeeding755
(Mar 2010)
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The pricing of government-guaranteed bank bonds (JEL G12, G18, G21, G28, G32)

by Aviram Levy and Andrea Zaghini753
(Mar 2010)
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An analysis of the determinants of credit default swap spread changes before and during the subprime financial turmoil (JEL G12, G13)

by Antonio Di Cesare and Giovanni Guazzarotti749
(Mar 2010)
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How does immigration affect native internal mobility? New evidence from Italy (JEL J61, O15, R23)

by Sauro Mocetti and Carmine Porello748
(Mar 2010)
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The macroeconomics of fiscal consolidations in a monetary union: the case of Italy (JEL E62, H63)

by Lorenzo Forni, Andrea Gerali and Massimiliano Pisani747
(Mar 2010)
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On vector autoregressive modeling in space and time (JEL C32, C33, R10)

by Valter Di Giacinto746
(Feb 2010)
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Too many lawyers? Litigation in Italian civil courts

by Amanda Carmignani and Silvia Giacomelli745
(Feb 2010)
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The effect of the Uruguay Round on the intensive and extensive margins of trade

by Ines Buono and Guy Lalanne743
(Feb 2010)
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Credit and banking in a DSGE model of the euro area

by Andrea Gerali, Stefano Neri, Luca Sessa and Federico Maria Signoretti740
(Jan 2010)
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The use of survey weights in regression analysis

by Ivan Faiella739
(Jan 2010)
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External trade and monetary policy in a currency area

by Martina Cecioni738
(Jan 2010)
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The pro-competitive effect of imports from China: an analysis of firm-level price data

by Matteo Bugamelli, Silvia Fabiani and Enrico Sette737
(Jan 2010)
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Sacrifice ratio or welfare gain ratio? Disinflation in a DSGE monetary model

by Guido Ascari and Tiziano Ropele736
(Jan 2010)
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2009

Networks with decreasing returns to linking

by Filippo Vergara Caffarelli734
(Nov 2009)
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Tax morale and public spending inefficiency

by Guglielmo Barone and Sauro Mocetti732
(Nov 2009)
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The riskiness of corporate bonds

by Marco Taboga730
(Oct 2009)
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Trade-Revealed TFP

by Andrea Finicelli, Patrizio Pagano and Massimo Sbracia729
(Oct 2009)
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Ricardian selection

by Andrea Finicelli, Patrizio Pagano and Massimo Sbracia728
(Oct 2009)
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Sorting, reputation and entry in a market for experts

by Enrico Sette727
(Oct 2009)
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Low skilled immigration and the expansion of private schools

by Davide Dottori and I-Ling Shen726
(Oct 2009)
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How are firms' wages and prices linked: survey evidence in Europe

by Martine Druant, Silvia Fabiani, Gabor Kezdi, Ana Lamo, Fernando Martins and Roberto Sabbatini725
(Oct 2009)
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Nonlinear dynamics in welfare and the evolution of world inequality

by Davide Fiaschi, Marzia Romanelli724
(Oct 2009)
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Comparing forecast accuracy: a Monte Carlo investigation (JEL C12, C52, C53)

by Fabio Busetti, Juri Marcucci and Giovanni Veronese723
(Sep 2009)
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The effects of privatization and consolidation on bank productivity: comparative evidence from Italy and Germany (JEL D24, G21, G28, L33)

by E. Fiorentino, A. De Vincenzo, F. Heid, A. Karmann and M. Koetter722
(Sep 2009)
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Trust and regulation: addressing a cultural bias (JEL D02, K42, L51, Z10)

by Paolo Pinotti721
(Sep 2009)
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The announcement of monetary policy intentions (JEL E43, E52, E58)

by Giuseppe Ferrero and Alessandro Secchi720
(Sep 2009)
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Household wealth and entrepreneurship: is there a link? (JEL D13, E21, L26)

by Silvia Magri719
(Jun 2009)
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Innovation and productivity in SMEs. Empirical evidence for Italy (JEL L60, O31, O33)

by Bronwyn H. Hall, Francesca Lotti and Jacques Mairesse718
(Jun 2009)
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When the highest bidder loses the auction: theory and evidence from public procurement (JEL D44, D82, H57, L22, L74)

by Francesco Decarolis717
(Jun 2009)
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The euro and firm restructuring (JEL F33, J24, L16, O47)

by Matteo Bugamelli, Fabiano Schivardi and Roberta Zizza716
(Jun 2009)
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Firm heterogeneity and comparative advantage: the response of French firms to the entry of Turkey in the European Customs Union (JEL F12, F13, F15)

by Ines Buono715
(Jun 2009)
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Composite indicators for monetary analysis

by by Andrea Nobili713
(May 2009)
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Bank risk and monetary policy

by by Yener Altunbas, Leonardo Gambacorta and David Marqués-Ibáñez712
(May 2009)
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The topology of the interbank market: developments in Italy since 1990

by Michele Manna and Carmela Iazzetta711
(May 2009)
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Gradualism, transparency and the improved operational framework: a look at the overnight volatility transmission

by Silvio Colarossi and Andrea Zaghini710
(May 2009)
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Politicians at work. The private returns and social costs of political connections

by Federico Cingano and Paolo Pinotti709
(May 2009)
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Trend inflation, Taylor principle and indeterminacy

by Guido Ascari and Tiziano Ropele708
(May 2009)
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What determines the size of bank loans in industrialized countries? The role of government debt (JEL C23, G18, G21)

by Riccardo De Bonis and Massimiliano Stacchini707
(Mar 2009)
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Macroeconomic effects of greater competition in the service sector: the case of Italy (JEL C51, E31, E52)

by Lorenzo Forni, Andrea Gerali and Massimiliano Pisani706
(Mar 2009)
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The (mis)specification of discrete duration models with unobserved heterogeneity: a Monte Carlo study (JEL C23, C25)

by Cheti Nicoletti and Concetta Rondinelli705
(Mar 2009)
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Oil and the macroeconomy: a quantitative structural analysis (JEL C32, E3, F4)

by Francesco Lippi and Andrea Nobili704
(Mar 2009)
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Measuring wealth mobility

by Andrea Neri703
(Jan 2009)
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Dropping the books and working off the books

by Rita Cappariello and Roberta Zizza702
(Jan 2009)
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On analysing the world distribution of income

by Anthony B. Atkinson and Andrea Brandolini701
(Jan 2009)
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What determines debt intolerance? The role of political and monetary institution

by Raffaela Giordano and Pietro Tommasino700
(Jan 2009)
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Bond risk premia, macroeconomic fundamentals and the exchange rate

by Marcello Pericoli and Marco Taboga699
(Jan 2009)
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2008

Immigration and crime: an empirical analysis

by Milo Bianchi, Paolo Buonanno and Paolo Pinotti698
(Dec 2008)
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Technological change and the demand for currency: an analysis with household data

by Francesco Lippi and Alessandro Secchi697
(Dec 2008)
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Reservation wages: explaining some puzzling regional patterns

by Paolo Sestito and Eliana Viviano696
(Dec 2008)
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Immigrant earnings in the Italian labour market

by Antonio Accetturo and Luigi Infante695
(Dec 2008)
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Competing influence

by Enrico Sette693
(Sep 2008)
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Investors' risk attitude and risky behavior: a Bayesian approach with imperfect information

by Stefano Iezzi692
(Sep 2008)
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Educational choices and the selection process before and after compulsory schoolin

by Sauro Mocetti691
(Sep 2008)
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Nonlinearities in the dynamics of the euro area demand for M1

by Alessandro Calza and Andrea Zaghini690
(Sep 2008)
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A beta based framework for (lower) bond risk premia

by Stefano Nobili and Gerardo Palazzo689
(Sep 2008)
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2007

Securitisation and the bank lending channel

by Yener Altunbas, Leonardo Gambacorta and David Marqués653
(Nov 2007)
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The general equilibrium effects of fiscal policy: Estimates for the euro area

by Lorenzo Forni, Libero Monteforte and Luca Sessa652
(Nov 2007)
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Revisiting poverty and welfare dominance

by Gian Maria Tomat651
(Nov 2007)
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Modelling bank lending in the euro area: A non-linear approach

by Leonardo Gambacorta and Carlotta Rossi650
(Nov 2007)
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Bank profitability and taxation

by Ugo Albertazzi and Leonardo Gambacorta649
(Nov 2007)
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Optimal monetary policy under low trend inflation

by Guido Ascari and Tiziano Ropele647
(Nov 2007)
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Does the underground economy hold back financial deepening? Evidence from the Italian credit market

by Giorgio Gobbi and Roberta Zizza646
(Nov 2007)
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Costs and benefits of creditor concentration: An empirical approach

by Amanda Carmignani and Massimo Omiccioli645
(Nov 2007)
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2006

Real-time determinants of fiscal policies in the euro area: Fiscal rules, cyclical conditions and elections

by Roberto Golinelli and Sandro Momigliano609
(Dec 2006)
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Merge and compete: Strategic incentives for vertical integration

by Filippo Vergara Caffarelli608
(Dec 2006)
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What does a technology shock do? A VAR analysis with model-based sign restrictions

by Luca Dedola and Stefano Neri607
(Dec 2006)
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The transmission of monetary policy shocks from the US to the euro area

by Stefano Neri and Andrea Nobili606
(Dec 2006)
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Job search in thick markets: Evidence from Italy

by Sabrina Di Addario605
(Dec 2006)
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The political economy of investor protection

by Pietro Tommasino604
(Dec 2006)
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A dual-regime utility model for poverty analysis

by Claudia Biancotti603
(Sep 2006)
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Scenario based principal component value-at-risk: An application to Italian banks' interest rate risk exposure

by Roberta Fiori and Simonetta Iannotti602
(Sep 2006)
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2005

Are there asymmetries in the response of bank interest rates to monetary shocks?

by by L. Gambacorta and S. Iannotti566
(Nov 2005)
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Technology transfer and economic growth in developing countries: an econometric analysis

by by V. Crispolti and D. Marconi564
(Nov 2005)
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Banks' participation in the Eurosystem auctions and money market integration

by by G. Bruno, M. Ordine and A. Scalia562
(Sep 2005)
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Testing the home market effect in a multi-country world: a theory-based approach

by by K. Behrens, A. R. Lamorgese, G. I. P. Ottaviano and T. Tabuchi561
(Sep 2005)
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Regulation, formal and informal enforcement and the development of the household loan market. Lessons from Italy

by by L. Casolaro, L. Gambacorta and L. Guiso560
(Sep 2005)
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