
| Central Bank Forecasts of Policy Interest Rates: An Evaluation of the First Years |
| How Much Does the Stock Market Risk Decline with the Investment Horizon? A Cross-Country Comparison |
| Identifying and Regulating Systemically Important Financial Institutions |
| Systemic Risk in the Italian Banking Industry |
| The Credit–Growth Nexus: New Evidence from Developing and Developed Countries |
| Improving Loan Portfolio Optimization by Importance Sampling Techniques: Evidence on Italian Banking Books |
| The Stock Markets, Banks and Growth Nexus: Asian Islamic Countries |
| Wicksell, Keynes, and the New Neoclassical Synthesis: What Can We Learn for Monetary Policy? |
| Complexity with Heterogeneous Fundamentalists and a Multiplicative Price Mechanism |
| Exchanges Competition in Listing Services: Evidence for Italian Companies |
| Learning and Signals under Discretionary Monetary Policy |
| Liquidity Constraints, Fundamentals and Investment: What Do We Learn From Panel Data? |
| Monetary Discipline as a Substitute for Fiscal Reforms and Market Liberalisations |