Found: 437 items
notice: only first 100 items are displayed, ordered from more recent to less recent.-
Publish date:30 November 1996No. 287 - The strategic behaviour of specialists in government securities
by Maurizio Ordine and Antonio Scalia
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Publish date:30 November 1996No. 286 - Using microdata on firms for economic analysis
by Luigi Cannari, Guido Pellegrini and Paolo Sestito
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Publish date:31 October 1996No. 285 - Micro Enterprise and Macro Policy
by Robert Townsend
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Publish date:31 October 1996No. 284 - Background Uncertainty and the Demand for Insurance against Insurable Risks
by Luigi Guiso and Tullio Jappelli
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Publish date:31 October 1996No. 283 - The relationships between spot prices and 10-year BTP futures: an analysis of infraday data
by Ignazio Angeloni, Francesco Drudi and Giovanni Majnoni
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Publish date:31 October 1996No. 282 - The Equity Premium Is No Puzzle
by Mordecai Kurz and Andrea Beltratti
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Publish date:31 October 1996No. 281 - Coordination and Correlation in Markov Rational Belief Equilibria
by Mordecai Kurz and Martin Schneider
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Publish date:31 October 1996No. 280 - Why Banks Have a Future: An Economic Rationale
by Raghuram G. Rajan
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Publish date:31 October 1996No. 279 - The rediscovery of debt and banks: progress and unresolved issues
by Riccardo De Bonis
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Publish date:30 September 1996No. 278 - Real Interest Rates, Sovereign Risk and Optimal Debt Management
by Francesco Drudi and Raffaella Giordano