2023 |
A quest between fiscal and market discipline |
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2022 |
On the international co-movement of natural interest rates |
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2022 |
Interest rate gaps in an uncertain global context: why "too" low (high) for "so" long? |
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2021 |
On the duration of sovereign ratings cycle phases |
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2020 |
Global factors, uncertainty, weather conditions and energy prices: On the drivers of the duration of commodity price cycle phases |
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2020 |
Unconventional monetary policy reaction functions: Evidence from the US |
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2020 |
How does monetary policy respond to the dynamics of the shadow banking sector? |
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2020 |
The Housing Cycle: What Role for Mortgage Market Development and Housing Finance? |
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2019 |
A competing risks tale on successful and unsuccessful fiscal consolidations |
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2018 |
The Legacy and the Tyranny of Time: Exit and Re-Entry of Sovereigns to International Capital Markets |
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2018 |
FINANCIAL MARKETS' SHUTDOWN AND REACCESS |
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2018 |
ECONOMIC ACTIVITY, CREDIT MARKET CONDITIONS, AND THE HOUSING MARKET |
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2018 |
Systemic financial crises and the housing market cycle |
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2018 |
The Impact of Fiscal Consolidation on Human Development |
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2017 |
HOW DO FISCAL CONSOLIDATION AND FISCAL STIMULI IMPACT ON THE SYNCHRONIZATION OF BUSINESS CYCLES? |
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2017 |
Spillovers from the oil sector to the housing market cycle |
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2017 |
Income inequality, fiscal stimuli and political (in)stability |
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2016 |
National fiscal consolidations and regional inequality in Europe |
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2016 |
Financial stress and sovereign debt composition |
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2015 |
Do debt crises boost financial reforms? |
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2015 |
What determines the likelihood of structural reforms? |
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2015 |
Booms, Busts and normal times in the housing market |
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2015 |
Is fiscal fatigue a threat to consolidation programmes? |
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2015 |
Nonlinear effects of asset prices on fiscal policy: Evidence from the UK, Italy and Spain |
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2015 |
Fiscal consolidation and financial reforms |
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2015 |
Can re-regulation of the financial sector strike back public debt? |
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2014 |
Fiscal Adjustments, Labour Market Flexibility and Unemployment |
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2014 |
The Determinants of the Volatility of Fiscal Policy Discretion |
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2014 |
How does fiscal consolidation impact on income inequality? |
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2013 |
Discretionary government consumption, private domestic demand, and crisis episodes |
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2013 |
What determines the duration of a fiscal consolidation program? |
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2013 |
FISCAL POLICY AND ASSET PRICE CYCLES:
EVIDENCE FROM FOUR EUROPEAN COUNTRIES |
Contributo in atti di convegno pubblicato in rivista |
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2013 |
Political, Institutional, and Economic Factors Underlying Deficit Volatility |
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2013 |
Fiscal policy and asset prices |
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2013 |
How best to measure discretionary fiscal policy? Assessing its impact on private spending |
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2013 |
Using time-varying transition probabilities in Markov switching processes to adjust US fiscal policy for asset prices |
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2012 |
How does fiscal policy react to wealth composition and asset prices? |
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2012 |
Discretionary fiscal policies over the cycle: new evidence based on the ESCB disaggregated approach |
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2012 |
Fiscal adjustments and income inequality: a first assessment |
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2012 |
On the severity of economic downturns: lessons from cross-country evidence |
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2012 |
How do banking crises impact on income inequality? |
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2012 |
Financial reforms and income inequality |
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2011 |
Can fiscal policy stimulus boost economic recovery? |
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2011 |
Assessing long-term fiscal developments: A new approach |
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2011 |
Booms and busts in housing markets: determinants and implications |
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2010 |
Booms and busts in housing markets |
Capitolo o Saggio |
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2010 |
Fiscal policy responsiveness, persistence, and discretion |
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2009 |
The determinants of public deficit volatility |
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2009 |
Discretionary fiscal policy over the cycle: new evidence based on the ESCB Disaggregated Approach |
Capitolo o Saggio |
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2009 |
Expectations and the term premium as time varying leading indicators of US economic activity |
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2008 |
Procyclicality and loan pricing effects under Basel 2: a simulation exercise to assess the impact on Italian SMEs |
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2008 |
Fiscal policy responsiveness, persistence and discretion |
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2007 |
The Fisher Hyphotesis and nominal interest rate decomposition: a structural VAR approach |
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2007 |
Inflation scares and bond market signals: is the Fed's policy action asymmetric? |
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2001 |
Le martingale: aspetti teorici ed applicativi |
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