Research
Peer-reviewed Publications:
Fattouh, B., Pisicoli, B. & Scaramozzino, P. (2024). Debt and Financial Fragility: Italian Non-Financial Companies after the Pandemic. Economic Modelling, 131, 106628.
Pisicoli, B. (2023). Financial development, diversity, and economic stability: Micro and systemic evidence. International Economics, 175 (2), 187-200.
Marchionne, F., Pisicoli, B., & Fratianni, M. (2022). Regulation, financial crises, and liberalization traps. Journal of Financial Stability, 63, 101060.
Pisicoli, B. (2022). Banking diversity, financial complexity and resilience to financial shocks: evidence from Italian provinces. International Review of Applied Economics, 36 (3), 338-402.
Presentation at the 9th Suerf & Unicredit Research Workshop (from 58:51)
Presentation at the XXXII Villa Mondragone International Economic Seminar (from 4:30:16)
Marchionne, F., Pisicoli, B., & Fratianni, M. (2022). Regulation and crises: A concave story. The North American Journal of Economics and Finance, 62, 101740.
Bencivelli, L., & Pisicoli, B. (2022). Foreign investors and target firms’ financial structure. International Economics, 169, 230-251.
WP Version (Bank of Italy Temi di Discussione)
Media coverage (newspaper article by Milano Finanza)
Working papers:
Beccari, G., Pisicoli, B. & Vocalelli, G. (2023). Barbarians at the gate? FDI and target firms' management quality. FREIT Working Paper No. 1794
Beccari, G., Marchionne, F., & Pisicoli, B. (2022). Alternative financing and investment in intangibles: evidence from Italian firms . (Mo. Fi. R.) Working Paper, n.174 [Revise & Resubmit Journal of Corporate Finance]
Media coverage (Suerf Policy Brief)
Pisicoli, B. (2021). Economic complexity and the product space: any role for finance?
In progress:
The ex post effects of Banks-Fintechs M&As (with Maurici, F. and Vocalelli, G.)