LUISS

Bio

Curriculum Vitae (updated, July 2018)

Current Position

Professor of Economics – LUISS G. Carli

Fields of interest

Macroeconomics, Monetary Theory, Financial Markets, Business Cycle

Professional activities and affiliations
  • Research Fellow – CEPR.
  • Senior Fellow – RCEA.
  • Scientific Board – LUISS School of European Political Economy.
  • Scientific Board, Centro Studi Confindustria.
  • Advisory Board – Research in Economics. Elsevier.
  • Expert panel member, CEPR/CFM macroeconomics survey.
  • Commettee Member, Programma per giovani ricercatori R. L. Montalcini, MIUR.
  • Board member, Groupama Asset Management, SGR.
Past professional activities and affiliations
  • Advisory Board, Fiscal Policies, Italian Government (2016).
  • Banco Popolare, Comitato Territoriale Centro-Sud (2013-2017).
  • ANVUR, Gruppo di Lavoro per l’Abilitazione Scientifica Nazionale (2013-2014).
  • Pro-Rector for Research, LUISS G. Carli (2011-2012).
  • Centro Studi Confindustria – Comitato Scientifico (2007-2008).
  • Banca d’Italia, Commissione di esame per coadiutori (2008 e 2017).
  • Banca d’Italia, Stringher Scholarship – Selection Committee (2008-2010).

Education

1987: Ph.D. (with distinction) in Economics – Columbia University – USA.

1981: Laurea – Università di Roma La Sapienza – Italy.

Academic positions

1998-2005: Professor of Economics – Università di Roma La Sapienza

1994-1998: Professor of Economics – Università di Chieti.

1992-1994: Associate Professor of Economics – Università di Napoli.

1990-1992: Ricercatore – Università di Roma La Sapienza.

1987-1988: “Jean Monnet Fellow” – European University Institute.

Visiting academic positions

2007: Columbia University, Department of Economics.

2001: European University Institute, Department of Economics.

1999: University of California Los Angeles, Department of Economics.

1998: The Abdus Salam International Center for Theoretical Physics, School on the Mathematics of Economics.

1991: University of Pennsylvania, Department of Economics.

1989: University of Pennsylvania, Department of Economics.

Teaching experience

Macroeconomics (Undergraduate, Ph.D.), Microeconomics (Undergraduate, PhD.).

Scholarships and Awards

1989: Research Fellowship SPES Program, CORE, Université Catholique de Louvain.

1989: Scholarship “Fare Ricerca in Italia” from Olivetti.

1984: “President’s Fellowship”, Columbia University.

1984: Fellowship “Ente Luigi Einaudi”, Banca d’Italia.

1983: “President’s Fellowship”, Columbia University.

1983: Fellowship “Ente Luigi Einaudi”, Banca d’Italia.

1982: Fellowship “Interbanca”.

Publications

Journal Articles and Book Chapters.

  • “Social Security, Unemployment Risk and Efficient Bargaining between Unions and Firms”, Scandinavian Journal of Economics, forthcoming.
  • “Money Creation: Tax or Public Liability?”, Journal of Money, Credit and Banking, 1073-1094, 50, 2018.
  • “Risk Sharing Across the EMU: The Role of Public Institutions” (with V. Milano), in Schmitt-Nilson, R. (ed.), Enhancing Fiscal Integration in the EMU?, ESM-ECFIN-GCEE Workshop Proceedings, European Economy. Luxemburg: Publications Office of the European Union, 2018.
  • “The Housing Cost Disease” (with N. Borri), Journal of Economic Dynamics and Control, 106-123, 87, 2018.
  • “Il Decreto Quote Bankitalia”, in F. Capriglione and M. Pellegrini, La Rivalutazione del Capitale della Banca d’Italia, Woltrs Kluwer Italia, 2014.
  • “On Milanovic’s Idea of World Inequality”, Global Policy, 4, 211-212, 2013.
  • “Fragility of Competitive Equilibrium with Risk of Default”, (with G. Bloise and M. Tirelli), Review of Economic Dynamics, 271-295, 16, 2, 2013.
  • “Le sfide al modello sociale europeo”, in S. Civitarese Matteucci, F. Guarriello, P. Puoti (ed.), Diritti fondamentali e politiche dell’Unione Europea dopo Lisbona, Maggioli Editore, 2013.
  • “Asset Prices, Debt Constraints and Inefficiency” (with G. Bloise), Journal of Economic Theory, 1520-46, 146, 2011.
  • “Le conseguenze economiche della mobilità del lavoro”, Giornale di Diritto del Lavoro e di Relazioni Industriali, 125, 2010.
  • “An obtrusive remark on capital and comparative statics” (with G. Bloise), Metroeconomica, 54-76, 60, 2009.
  • “La valutazione della ricerca in economia”, Statistica & Società, anno VI, 33-38, 2008.
  • “Infinite-maturity public debt and the fiscal theory of the price level” (with G. Bloise), Journal of Economic Dynamics and Control, 1721-1731, 32, 2008.
  • “Risk and Intermediation in a dual Financial Market Economy”, (with G. Bloise), Research in Economics, 257-279, 59, 2005.
  • “Optimal debt contracts and moral hazard along the business cycle”, (with P. Siconolfi), Economic Theory, 75-109, 24, 2004.
  • “Credit markets, Intermediation and the macroeconomy – Discussion of chapter”, in S. Bhattacharya, A. Boot and A. Thakor (ed.), Credit, intermediation, and the macroeconomy: readings and perspectives in modern financial theory, Oxford: Oxford University Press, 2004.
  • “Reserve requirements and costly state verification”, (with G. Di Giorgio), in G. Di Giorgio (ed.), Monetary policy and banking regulation, Rome: LUISS Edizioni, 2001.
  • “Diverging patterns with endogenous labor migration”, (with A. Rustichini), Journal of Economic Dynamics and Control, 703-728, 22, 1998.
  • “Endogenous cycles in competitive models: an overview”, Studies in Nonlinear Dynamics and Econometrics, 1, 1997.
  • “The role of social security in an economy with asymmetric information and financial intermediaries”, (with P. Siconolfi), Journal of Public Economics, 153-175, 60, 1996.
  • “Increasing returns and crowding out”, (with C. Azariadis), Journal of Economic Dynamics and Control, 847-877, 20, 1996.
  • “Las migraciones y la mano de obra heterogenea: un modelo simple”, (with A. Rustichini), Cuadernos Economicos de I.C.E., 59, 1995.
  • “Dinamica e indeterminatezza degli equilibri intertemporali”, in A. Medio (ed.), Analisi dinamica in economia: modelli non-lineari e lineari stocastici, Collana della Società Italiana degli Economisti, Bologna: Il Mulino, 1993.
  • “Endogenous cycles with long lived agents”, Journal of Economic Dynamics and Control, 243-266, 16, 1992.
  • “Endogenous fluctuations in a two-sector overlapping generations economy”, in: J. Benhabib (ed.), Cycles and chaos in economic equilibrium, Princeton: Princeton University Press, 1992.
  • “Output-inflation cycles in an economy with staggered wage setting”, Journal of Economic Dynamics and Control, 597-625, 14, 1990.
  • “Government domestic debt and the risk of default: a political-economic model of the strategic role of debt – discussion of chapter”, in R. Dornbush e M. Draghi (ed.), Public Debt Management: Theory and History, Cambridge: Cambridge University Press, 1990.
  • “Equilibrium cycles in an overlapping generations economy with production”, Journal of Economic Theory, 89-102, 40, 1986. Also appears in: Grandmont, J-M. (ed.), Nonlinear Economic Dynamics, Boston: Academic Press, Inc., 1987 and in: Jarsulic, M. (ed.), Non-Linear Dynamics in Economic Theory, Cheltenham Glos: Edward Elgar Publ. Ltd., 1993.
  • “Aspettative razionali, mercato atomistico e principio del costo marginale”, (with P. Siconolfi), Giornale degli Economisti e Annali di Economia, 769-779, 11-12, 1983.

Books

  • Pensare la sinistra, (with A. Rustichini), Laterza, Bari, 2013.
  • Quesnay visto da Pietro Reichlin, Rome: LUISS U.P., 2008.
  • Equilibri competitivi ed economie dinamiche, (with L. Ventura), Rome: Carocci Editore, Roma, 1998.

Recent Working Papers

  • “Wealth Taxes and Inequality” (with N. Borri), CEPR D. P. 13067, 2018.
  • “La transizione italiana dall’89 a oggi passando per la grande crisi”, mimeo. LUISS, manoscritto per un fascicolo monografico della rivista Journal of Modern Italian Studies , a cura di U. Gentiloni, 2018.
  • “Socially Optimal Wealth Inequality”, CEPR D.P. n. 12873, 2018.
  • “Equilibrium Indeterminacy with Parental Altruism”, CEPR D.P. n. 12787, 2018.
  • “The Housing Cost Disease” (with N. Borri), CEPR D.P. n. 10756, 2015.
  • “Money Creation: Tax or Public Liquidity?”, CEPR D.P. n. 10819, 2015.
  • “Social Security, Unemployment Risk and Efficient Bargaining between unions and Firms”, CEPR D. P. n. 9336, 2013.

Other Publications

  • “Risk across the US and Eurozone: the role of public institutions” (with V. Milano), Vox CEPR’s Policy Portal, January 23, 2017.
  • “La globalizzazione accresce le disuguaglianze”, in Il Pregiudizio Universale, Laterza, Bari, 2016.
  • “Completing the Eurozone banking union: What must be done” (with N. Borri), VOX CEPR’s policy Portal, April 4, 2016.
  • “The Housing Cost Disease” (with N. Borri), VOX CEPR’s Policy Portal, September, 8, 2015
  • “Is the European Project Inadequate? The Greek Case”, Eutopia Magazine, September 9, 2015.
  • “I soldi al popolo greco. E quelli alle sue banche” (with N. Borri), La Voce.info, July 16, 2015.
  • “Qe inefficace? Non per le banche” (con N. Borri), La Voce.info, February 3, 2015.
  • “Lezione da Atene- questa Europa è troppo fragile”, La Voice.info, January, 30, 2015.
  • “In Italia paghiamo troppe tasse? Punti di vista”, it, March 31, 2014.
  • “Dibattito sull’incapacità della Macroeconomia Neoclassica di prevedere la crisi del 2008”, Il Mulino, May, 2010.
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