Predicting AI adoption of European firms: A Machine Learning approach
Green research networks and environmental innovation: the role of regional absorptive capacity (with Fabrizi A. and Meliciani V.). Applied Economics Letters, 1-11, 2025.
The Role of Green Networks for Environmental Innovation in European Regions (with Fabrizi A. and Meliciani V.). Journal of Industrial and Business Economics, 1-32, 2025.
Fiscal consolidation plans with underground economy (with Ferrara M., Marzano, E., and Varlese, M.) Economic Inquiry, 63(1), 144-159, 2025.
Assessing the sovereign-bank interdependence in Eurozone core countries (with Capasso S., D’Uva M., and Napolitano O.). Journal of Economic Studies, 2024.
The Role of House Prices and Transactions in Monetary Policy Transmission: The Case of Italy (with Marzano E., Piselli P., and Rubinacci R.). Italian Economic Journal, 1-28, 2024.
Regional Economic Convergence in the European Union (with Giannini M. and Martini B.). In CONFLICT SCENARIOS AND TRANSITIONS. Opportunities and Risks for Regions and Territories, FrancoAngeli, 2024.
From sectoral industrial composition to employment and reverse. The Italian Case (with Giannini M. and Martini B.). Romanian Journal of Regional Science, 18(1), 1-37, 2024.
Cross-border Italian sovereign risk transmission in EMU countries (with Capasso S., D’Uva M., and Napolitano O.). Economic Modelling, 126, 106424, 2023.
Fiscal policy response to the COVID-19 pandemic in the euro area (with Tilli R. and D'Imperio P.). Economics Bulletin, 2023.
Private and Public Risk Sharing across Italian Regions (with Giannini M. and Martini B.). Journal of Macroeconomics, 74, 103470, 2022.
Are Related and Unrelated Variety Suitable Measures at Analyzing Industrial Sectoral Composition? A Critical Review (with Giannini M. and Martini B.). International Journal of Business and Social Science, 13(1), 2022.
How does firms’ broadband adoption affect regional TFP in Italy? (with Giannini M. and Martini B.). Economia Politica, 40(3), 1025-1050, 2022.
Ageing in the labour market: a SpVAR Approach (with Giannini M. and Martini B.). Spatial Economic Analysis, 17(4), 538-556, 2022.
Spatial asymmetries in monetary policy effectiveness in Italian regions. (with Capasso S., D’Uva M., and Napolitano O.), Spatial Economic Analysis, 16(1), 27-46, 2021.
Shadow rates and spillovers across the Eurozone: a spatial dynamic panel model. (with Foglia M. and Cartone A.), Empirica, 48(1), 223-245, 2021.
Structural differences in the Eurozone: measuring financial stability by FCI. (with Foglia M. and Cartone A.), Macroeconomics Dynamics, 24(1), 69-92, 2020.
Economic Growth in the era of Unconventional Monetary Instruments: a FAVAR Approach. (with Meliciani V.), Journal of Macroeconomics, 62, 103094, 2019.
Water Gain: As a Common Good Becomes a Financial Opportunity. (with Mele M.) International Journal of Economics and Financial Issues, 7(2), 626-630, 2017.
L’investimento "liquido" come nuova frontiera per i mercati finanziari, G. Agresti, C. Di Marco, F. Ricci (eds), Bene comune e beni comuni nel nostro tempo: continuità o frattura? Profili scientifici interdisciplinari, Aracne Editrice, Roma, pp. 277-285, 2016.
Politiche monetarie anticicliche: il Quantitative Easing della Fed e della BCE a confronto, A. Ciccarelli, T. Forcellese, (eds), L’Europa del XXI secolo. Il futuro dell’Unione Europea tra convergenza politico-istituzionale e integrazione socio-economica, Editoriale Scientifica, Napoli, 2016.
Legislative interventions for the Italian local public financial distress. (with Pontarollo N. and Serpieri C.). Working Papers in Public Economics 219, University of Rome La Sapienza, Department of Economics and Law, 2022.
(Dis)integrazione economica: una panoramica delle principali divergenze tra i Paesi dell’Eurozona. (with Foglia M.) EUROPEIUNITE, Editoriale Scientifica, 2016.