Pubblicazioni scientifiche


  • Marattin, L. (2008), “Economia dell’Integrazione Europea” – Il Mulino – Bologna (con A.Mantovani)

Capitoli in libri

  • (2014) “Some Considerations on Debt and Interest rates” in J.Chadha, A. Durre, M.Joyce, L.Sarno (eds) “New Developments in Macro-Finance Yield Curves”. Cambridge University Press (with P.Paesani e S.Salotti)
Articoli scientifici
  • (2022), “Sovereing Bail Outs and Fiscal Rules in a Banking Union” (con R.Minetti e S.Meraglia) – Scandinavian Journal of Economics – forhcoming
  • (2021), “Revenue vs Expenditure Based Fiscal Consolidation: The Pass-Trough from Federal Cuts to Local Taxes” International Tax and Public Finance (con T. Nannicini e F. Porcelli) – forthcoming
  • (2021), “Public Debt, Sovereign Spreads and the Unpleasant Arithmetic of Fiscal Consolidations” – International Finance (con M. Di Pietro e R. Minetti) – forthcoming
  • (2021), “On Prices’ Cyclical Behaviour in Oligopolistic Markets” – Research in Economics 75, 79-86 (con L. Lambertini)
  • (2020), “Fiscal Policies Amid a Pandemic: The Response of Italy to the Covid-19 Crisis” – National Tax Journal 73 (3), 927-950 (con M. Di Pietro and R.Minetti)
  • (2019), “Determinants of Fiscal Distress in Italian Municipalities” – Empirical Economics 56, 1269-1281(con W.Gregori)
  • (2016), “Strategic Delegation Under Cost Asymmetry” – Operations Research Letters 44, 443-445 (con F.Delbono e L.Lambertini)
  • (2016), “To Adjust or Not-To-Adjust After a Cost-Push Shock? A Simple Duopoly Model with (and without) Resilience”, Economics of Innovation and New Technology 25, 172-81 (con L.Lambertini)
  • (2014), “Government Spending Under Non-Separability: a Theoretical Analysis”, International Review of Economics, 61, 39-60 (con A.Palestini)
  • (2014), “Consumption Multipliers of Different Types of Public Spending: a Structural Vector Error Correction Analysis for the UK”, Empirical Economics, 46, 1197-1220 (with S.Salotti)
  • (2013), “Distortionary Tax Instruments and Implementable Monetary Policy” International Review of Economics and Finance 25, 219-243 (con M.Marzo, P.Zagaglia).
  • (2012), “Assessing the Pre-Crisis Advantages of the EMU for Sovereign Debt Issuers: a Panel VAR Analysis”, Rivista di Politica Economica  Gennaio-Marzo 2012, 7-22 (con P.Paesani and S.Salotti)
  • (2011), “On the Usefulness of Government Expenditure in the EU Area” – Journal of Socio Economics 40, 780-795.(con S.Salotti)
  • (2011), “A Welfare Perspective on the Fiscal-Monetary Mix: the Role of Alternative Fiscal Instruments” – Journal of Policy Modeling 33, 920-952 (con M.Marzo and P.Zagaglia)
  • (2011), “Productivity and Per-Capita GDP Growth: the Role of the Forgotten Factors”  – Economic Modelling, 28, 1219 – 1225(con S.Salotti)
  • (2010), “Taxation, Infrastructure and Endogenous Trade Costs in New Economic Geography” Papers in Regional Science, 89, 203-222(con S.Gruber)
  • (2010), “A Note on the (Un)Pleasant Arithmetic of Fiscal Policy: the Case of Italian Public Debt” Economic Notes, 38, 169-183 (con M.Marzo)
  • (2008), “Private and Public Consumption and Counter-Cyclical Fiscal Policy”  International Journal of Economics, 2, 55-81.
  • (2008), “The Impact of Advertising on Aggregate Consumption: the Case of Italy” Journal of Applied Economic Sciences, 3, 223-231.
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