Mario Tonveronachi

Short profile
Mario Tonveronachi

Professor of Economics (contract)
Research interests: monetary economics, macroeconomics

Main publications
  • (2018), European Sovereign Bond-Backed Securities: An Assessment and an Alternative Proposal, Levy Economics Institute of Bard College, Public Policy Brief No. 145.
  • (2018),” Ending Laissez-Faire Finance”, in Classical Economics Today. Essays in Honor of Alessandro Roncaglia, ed. by M. Corsi, J. Kregel and C. D’Ippoliti, Anthem Press.
  • (2017), with E. Montanaro, "Dealing with the vulnerability of the Italian banking system", PSL Quarterly Review, vol. 70 n. 283, 357-420. Italian version; "Vulnerabilità del sistema bancario italiano. Diagnosi e rimedi", Moneta e Credito, vol. 70 n. 280, dicembre, 299-368. 
  • (2016), Three proposals for revitalising the European Union", PSL Quarterly Review, vol. 69 n.279, dicembre, 301-336.
  • (2016), "Tre proposte per rivitalizzare l'Unione Europea", Moneta e Credito, vol. 69 n. 267, dicembre, 367-404.
  • (2016), "Making the European Union a viable construction", European Policy Brief, FESSUD.
  • (2016), "Forme di mercato e sistema finanziario. Spunti dalla testimonianza di Sylos Labini alla Commissione parlamentare di inchiesta sui limiti alla concorrenza in campi economico, Moneta e Credito, vol. 69 n. 273, 109-119.
  • (2016), "A critical assessment of the EU monetary, fiscal and regulatory framework and a reform proposal", FESSUD Working Paper No. 132.
  • (2016), with J. Kregel and R. Kattel, Introduction to Financial Regulation in the European Union, ed. by R. Kattel, J. Kregel and M. Tonveronachi, Routledge.
  • (2016), “Post-crisis international regulatory standards and their inclusion in the European Framework”, in Financial Regulation in the European Union, ed. by R. Kattel, J. Kregel and M. Tonveronachi, Routledge.
  • (2015), "Revising the European Central Bank's operations and euro area fiscal rules to support growth and employment", Journal of Post Keynesian Economics, 38:495-508.
  • (2015), "The ECB, the single financial market, and a revision of the euro area fiscal rules", Public Policy Brief No. 140, Levy Economics Institute of Bard College.
  • (2015), “Making the ECB the central bank of a non-federal coalition of states”, PSL Quarterly Review, June.
  • (2015), “G20/FSB/BCBS Proposals and their Integration into the European Framework”, FESSUD, working Paper, No. 96.
  •  (2014), with Jan Kregel, “Fundamental principles of financial regulation and supervision”, FESSUD working paper, n. 29.
  • (2014), “The ECB and the Single European Financial Market: A Proposal to Repair Half of a Flawed Design”, Levy Economics Institute of Bard College, Pubic Policy Brief No. 137.
  • (2014) with A. Roncaglia, “Post-Keynesian, Post-Sraffian Economics: An Outline”, in Contributions to Economic Theory, Policy, Development and Finance. Essays in Honor of Jan A. Kregel, ed. By D. Papadimitriou, Palgrave MacMIllan.
  •  (2013), "L'Unione Bancaria Europea. Di nuovo un disegno istituzionale incompleto", Moneta e Credito, vol. 66, n. 264, pp. 398-413.
  • (2013), "De-globalising bank regulation", PSL Quarterly Review, vol. 66, n. 267, pp. 371-385.
  • (2012), with E. Montanaro, “O sistema financeiro da União Europeia pós-Lehman: respostas políticas e regulatórias”, in As Transformações no sistema financeiro Internacional, ed. By Marcos Antonio Macedo Cintra and Keiti da Rocha Gomes, ipea, chapter 3, volume 1, Brasilia. English version: “The European Union financial system after Lehman: Policy and regulatory responses”,
  • (2012), with E. Montanaro, “Financial reforms at a crossroads: How the European experience strengthens the case for a radical reform built on Minsky’s approach”, PSL Quarterly Review, vol. 65, no.263, 335-383.
  • (2012), “Propuesta para un pacto fiscal y de crecimiento”, Ensajos Económicos, Banco Central de la República Argentina, vol. 65-66, Septiembre, 77-106.
  •  (2011) with E. Montanaro, “A critical assessment of the European approach to financial reforms”, PSL Quarterly Review, vol. 64, n. 258, pp. 193-226.
  • (2011), “How Not to Stress EU Banks and Their Supervisors”, Ideas, Themes, July.
  • (2010) "Cominciamo a parlare della prossima crisi", Moneta e Credito, vol 63, n. 249, pp.35-50.
  • (2010) "Financial innovation and system design", PSL Quarterly Review, vol. 63, n. 253, pp. 131-144.
  • (2010) with E. Montanaro, “Reestructuración del sistema financiero: presentación sintética de un enfoque alternativo para la regulación financiera”, Ensayos Económicos, enero-julio, pp. 127-143.
  • (2010) “Empowering supervisors with more principles and discretion to implement them will not reduce the dangers of the prudential approach to financial regulation”, PSL Quarterly Review, vol. 63, pp. 363-378, December.