Found: 540 items
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Publish date:30 November 1997No. 320 - Wherein Do the European and American Models Differ?
by Paul A. Samuelson
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Publish date:30 September 1997No. 319 - What do interest rates on loans in the provinces depend on?
by Riccardo De Bonis and Annalisa Ferrando
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Publish date:30 September 1997No. 318 - Forecasting firms' insolvency and the quality of bank lending: a statistical analysis
by Sebastiano Laviola and Maurizio Trapanese
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Publish date:30 September 1997No. 317 - Sensitivity of VaR Measures to Different Risk Models
by F. Drudi, A. Generale and G. Majnoni
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Publish date:30 September 1997No. 316 - Transmission channels for monetary policy in the Bank of Italy's quarterly econometric model
by Sergio Nicoletti Altimari, Roberto Rinaldi, Stefano Siviero and Daniele Terlizzese
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Publish date:30 September 1997No. 315 - Active bank interest rates and the financial structure in Italy: an empirical analysis
by Carlo Cottarelli, Giovanni Ferri and Andrea Generale
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Publish date:31 August 1997No. 314 - Sectoral bottlenecks, limits on growth and inflationary pressures
by Piero Cipollone and Domenico Junior Marchetti
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Publish date:31 August 1997No. 313 - The Seasonality of the Italian Cost-of-Living Index
by Gianluca Cubadda and Roberto Sabbatini
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Publish date:31 August 1997No. 312 - Credibility without Rules? Monetary Frameworks in the Post-Bretton Woods Era
by Carlo Cottarelli and Curzio Giannini
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Publish date:31 July 1997No. 311 - Term structure, risk premiums and expected interest rates: empirical evidence from the eurolira market
by Francesco Drudi and Roberto Violi