Central Bank Research Hub - Series: Bank of Italy Working Papers

Papers by year: All | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005

Title Author(s)

Science and technology parks in Italy: main features and analysis of their effects on the firms hosted

Paper: 983, 19.11.2014

JEL: C31, L25, O31

Informed trading and stock market efficiency.

Paper: 992, 19.11.2014

JEL: D53, D82, G14

The determinants of household debt: a cross-country analysis

Paper: 989, 19.11.2014

JEL: E21, G21, P5

The interest-rate sensitivity of the demand for sovereign debt. evidence from OECD countries (1995-2011)

Paper: 988, 19.11.2014

JEL: E43, G12, H63

Optimal monetary policy rules and house prices: the role of financial frictions

Paper: 993, 19.11.2014

JEL: E20, E44, E52

The scapegoat theory of the exchange rates: the first tests

Paper: 991, 19.11.2014

JEL: F34, G12, G15

Natural expectations and home equity extraction

Paper: 984, 19.11.2014

JEL: D84, E31, E32, E44

Large banks, loan rate markup and monetary policy

Paper: 987, 19.11.2014

JEL: E51, E52, G21

An estimated DSGE model with search and matching frictions in the credit market

Paper: 986, 19.11.2014

JEL: C78, E13, E43, E44

Dif-in-dif estimators of multiplicative treatment effects

Paper: 985, 19.11.2014

Multidimensional poverty and inequality

Paper: 976, 13.10.2014

JEL: D3, D63, I30, I32

Inequality and trust: new evidence from panel data

Paper: 973, 13.10.2014

JEL: D31, O15, Z13

Hedonic value of Italian tourism supply: comparing environmental and cultural attractiveness

Paper: 975, 13.10.2014

JEL: L83, Q53, R11, Z11

Random switching exponential smoothing and inventory forecasting

Paper: 971, 13.10.2014

JEL: C22, C53

Are Sovereign Wealth Funds contrarian investors?

Paper: 972, 13.10.2014

JEL: F21, F65, G01, G15, G23, G34

Stock market efficiency in China: evidence from the split-share reform

Paper: 969, 13.10.2014

JEL: G14, N25

Academic performance and the Great Recession

Paper: 970, 13.10.2014

JEL: D12, E32, J24

Identification and estimation of outcome response with heterogeneous treatment externalities

Paper: 974, 13.10.2014

JEL: C13, C21, D62

Foreign exchange reserve diversification and the "exorbitant privilege"

Paper: 964, 15.07.2014

JEL: C51, E52, F33, F41

Measuring spatial effects in presence of institutional constraints: the case of Italian Local Health Authority expenditure

Paper: 967, 15.07.2014

JEL: C31, H51, H72

Bank bonds: size, systemic relevance and the sovereign

Paper: 966, 15.07.2014

JEL: G01, G18, G21

Behind and beyond the (headcount) employment rate

Paper: 965, 15.07.2014

JEL: E24, J21

Price pressures in the UK index-linked market: an empirical investigation

Paper: 968, 15.07.2014

JEL: F34, G12, G15

Technical progress, retraining cost and early retirement

Paper: 963, 08.07.2014

JEL: J24, J26, O33

Two EGARCH models and one fat tail

Paper: 954, 08.07.2014

JEL: C22, G17

Political selection in the skilled city

Paper: 956, 08.07.2014

JEL: D7, H8, I20

A tale of an unwanted outcome: transfers and local endowments of trust and cooperation

Paper: 959, 08.07.2014

JEL: D7, R1, Z1

My parents taught me. Evidence on the family transmission of values

Paper: 955, 08.07.2014

JEL: C83, D10, Z1

Are the log-returns of Italian open-end mutual funds normally distributed? A risk assessment perspective

Paper: 957, 08.07.2014

JEL: C02, C46, G23

The intergenerational transmission of reading: is a good example the best sermon?

Paper: 958, 08.07.2014

JEL: C21, J13, J22, J24

The impact of R&D subsidies on firm innovation

Paper: 960, 08.07.2014

JEL: H2, L10, R0

Public expenditure distribution, voting, and growth

Paper: 961, 08.07.2014

JEL: O41, O43

Cooperative R&D networks among firms and public research institutions

Paper: 962, 08.07.2014

JEL: C70, L14, O30

Heterogenous firms and credit frictions: a general equilibrium analysis of market entry decisions

Paper: 940, 10.12.2013

Sovereign risk, monetary policy and fiscal multipliers: a structural model-based assessment

Paper: 943, 10.12.2013

Supply tightening or lack of demand: an analysis of credit developments during the Lehman Brothers and the sovereign debt crises

Paper: 942, 10.12.2013

The trend-cycle decomposition of output and the Phillips curve: Bayesian estimates for Italy

Paper: 941, 10.12.2013

Ita-coin: a new coincident indicator for the Italian economy

Paper: 935, 15.11.2013

The effect of tax enforcement on tax morale

Paper: 937, 15.11.2013

The Italian financial cycle: 1861-2011

Paper: 936, 15.11.2013

Central bank and government in a speculative attack model

Paper: 934, 11.10.2013

The role of regulation on entry: evidence from the Italian province

Paper: 932, 11.10.2013

Macroeconomic and monetary policy surprises and the term structure of interest rates

Paper: 927, 11.10.2013

Central bank refinancing, interbank markets, and the hypothesis of liquidity hoarding: evidence from a euro-area banking system

Paper: 928, 11.10.2013

Forecasting aggregate demand: analytical comparison of top-down and bottom-up approaches in a multivariate exponential smoothing framework

Paper: 929, 11.10.2013

Uncertainty and heterogeneity in factor models forecasting

Paper: 930, 11.10.2013

Economic insecurity and fertility intentions: the case of Italy

Paper: 931, 11.10.2013

The management of interest rate risk during the crisis: evidence from Italian banks

Paper: 933, 11.10.2013

Relationship and transaction lending in a crisis

Paper: 917, 15.07.2013

Macroeconomic effects of precautionary demand for oil

Paper: 918, 15.07.2013

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