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

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

Title Author(s)

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

The procyclicality of foreign bank lending: evidence from the global financial crisis

Paper: 926, 15.07.2013

Down and out in Italian towns: measuring the impact of economic downturns on crime

Paper: 925, 15.07.2013

Trade elasticity and vertical specialisation

Paper: 924, 15.07.2013

Do euro area countries respond asymmetrically to the common monetary policy?

Paper: 923, 15.07.2013

Should monetary policy lean against the wind? An analysis based on a DSGE model with banking

Paper: 921, 15.07.2013

Tracking world trade and GDP in real time

Paper: 920, 15.07.2013

Skill upgrading and exports

Paper: 919, 15.07.2013

Macroeconomic effects of precautionary demand for oil

Paper: 918, 15.07.2013

The effect of organized crime on public funds

Paper: 916, 11.06.2013

Tempered stable Ornstein-Uhlenbeck processes: a practical view

Paper: 912, 11.06.2013

Forward-looking robust portfolio selection

Paper: 913, 11.06.2013

Local development that money cant buy: Italys Contratti di Programma

Paper: 915, 11.06.2013

Trust and preferences: evidence from survey data

Paper: 911, 24.04.2013

JEL: D1, D8, Z1

Asking income and consumption questions in the same survey: what are the risks?

Paper: 908, 24.04.2013

JEL: C25, C42, D31

Credit supply during a sovereign debt crisis

Paper: 909, 24.04.2013

JEL: E44, E51, F34, G21

Geography, productivity and trade: does selection explain why some locations are more productive than others?

Paper: 910, 24.04.2013

JEL: C52, D24, R12

Public-private wage differentials in euro area countries: evidence from quantile decomposition analysis

Paper: 907, 23.04.2013

JEL: H50, J31, J45, J50

Pure or wake-up-call contagion? Another look at the EMU sovereign debt crisis

Paper: 904, 23.04.2013

JEL: E62, G01, H62

Family firms and the Great Recession: out of sight, out of mind?

Paper: 905, 23.04.2013

JEL: C81, J60, M14

Price discovery in the Italian sovereign bonds market: the role of order flow

Paper: 906, 23.04.2013

JEL: G1, G2

Banking consolidation and bank-firm credit relationships: the role of geographical features and relationship characteristics

Paper: 901, 07.03.2013

Evaluating the efficacy of European regional funds for R&D

Paper: 902, 07.03.2013

The causal effect of credit guarantees for SMEs: evidence from Italy

Paper: 900, 07.03.2013

Limited credit records and market outcomes

Paper: 903, 07.03.2013

A spatial competitive analysis: the carbon leakage effect on the cement industry under the European Emissions Trading Scheme

Paper: 899, 31.01.2013

Incentives through the cycle: microfounded macroprudential regulation

Paper: 894, 31.01.2013

What is a prime bank? A Euribor - OIS spread perspective

Paper: 895, 31.01.2013

Short-term GDP forecasting with a mixed frequency dynamic factor model with stochastic volatility

Paper: 896, 31.01.2013

Collective action clauses: how do they weigh on sovereigns?

Paper: 897, 31.01.2013

Firm size and judicial efficiency: evidence from the neighbour's court

Paper: 898, 31.01.2013

A dynamic default dependence model

Paper: 892, 14.12.2012

JEL: B26, C02, C53

Start-up banks' default and the role of capital

Paper: 890, 14.12.2012

JEL: G21, G28

The predictive power of Google searches in forecasting unemployment

Paper: 891, 14.12.2012

JEL: C22, C53, E27, E37, J60, J64

Externalities in interbank network: results from a dynamic simulation model

Paper: 893, 14.12.2012

JEL: E58, G01, G21, G28

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