BoF Economics Review
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- 8/2024: Forecasting inflation: A comparison of the ECB's short-term inflation projections and inflation-linked swaps

- Jetro Anttonen and Olli-Matti Laine
- 7/2024: Forecasting unemployment in Finland: A flow approach

- Annika Lindblad and Niklas Gäddnäs
- 6/2024: Asset price shocks and inflation in the Finnish economy

- Tero Koivisto
- 5/2024: Rahoitusolojen eritahtinen kiristyminen euroalueella

- Eeva Kerola
- 4/2024: Microblogging money: Exploring the world's central banks on Twitter

- Iikka Korhonen, Elisa Newby and Jonna Elonen-Kulmala
- 3/2024: Constructing a composite indicator to assess cyclical systemic risks: An early warning approach

- Heidi Koponen
- 2/2024: Geoeconomic fragmentation, globalization, and multilateralism

- Anni Norring
- 1/2024: How effective quantitative tightening can be with a higher-for-longer pledge?

- Mika Kortelainen
- 4/2023: Externalities and market failures of cryptocurrencies

- Topi Hokkanen
- 3/2023: Forecasting private investment in Finland using Q-theory and frequency decomposition

- Veera Nippala and Taina Sinivuori
- 2/2023: Household debt, liquidity constraints and the interest rate elasticity of private consumption

- Samu Kärkkäinen and Aino Silvo
- 1/2023: Transmission of recent shocks in a labour-DSGE model with wage rigidity

- Meri Obstbaum, Sami Oinonen, Harri Pönkä, Juuso Vanhala and Lauri Vilmi
- 6/2022: The effects of age and cohort on household saving

- Petri Mäki-Fränti
- 5/2022: Why is Finland lagging behind in export growth?

- Sami Oinonen and Matti E. E. Virén
- 4/2022: A model for predicting Finnish household loan stocks

- Juho Nyholm and Aino Silvo
- 3/2022: Has there been a change in household saving behavior in the low inflation and interest rate environment?

- Sami Oinonena and Matti E. E. Virén
- 2/2022: Optimal bank capital requirements: What do the macroeconomic models say?

- Adam Gulan, Esa Jokivuolle and Fabio Verona
- 1/2022: Taming the tides of capital: Review of capital controls and macroprudential policy in emerging economies

- Anni Norring
- 10/2021: Bank of Finland's long-run forecast framework with human capital

- Arto Kokkinen, Meri Obstbaum and Petri Mäki-Fränti
- 9/2021: Measuring counterparty risk in FMIs

- Tatu Laine and Kasperi Korpinen
- 8/2021: Competition and regulation in the Finnish ATM industry

- Tuomas Markkula and Tuomas Takalo
- 7/2021: Instant payments as a new normal: Case study of liquidity impacts for the Finnish market

- Matti Hellqvist and Kasperi Korpinen
- 6/2021: Output gaps and cyclical indicators: Finnish evidence

- Harri Pönkä and Mikko Sariola
- 5/2021: Analysing euro area inflation outlook with the Phillips curve

- Sami Oinonen and Lauri Vilmi
- 4/2021: The effects of the ECB's pandemic-related monetary policy measures

- Jaakko Nelimarkka and Olli-Matti Laine
- 3/2021: Could corporate credit losses turn out higher than expected?

- John Juselius and Nikola A. Tarashev
- 2/2021: Quantiles of growth: Household debt and growth vulnerabilities in Finland

- Juho Nyholm and Ville Voutilainen
- 1/2021: Economic effects of a debt-to-income constraint in Finland: Evidence from Aino 3.0 model

- Samu Kärkkäinen and Juho Nyholm
- 8/2020: Lessons learned from the world's first CBDC

- Aleksi Grym
- 7/2020: Probit based time series models in recession forecasting – A survey with an empirical illustration for Finland

- Wilma Nissilä
- 6/2020: European household and business expectations during COVID-19: Towards a v-shaped recovery in confidence?

- Gene Ambrocio
- 5/2020: Yield curve control

- Mika Kortelainen
- 4/2020: Nowcasting Finnish GDP growth using financial variables: a MIDAS approach

- Olli-Matti Laine and Annika Lindblad
- 3/2020: Koronaviruskriisi leikkaa syvän loven Suomen talouteen

- Juha Kilponen
- 2/2020: Dealing with the costs of the COVID-19 pandemic – what are the fiscal options?

- Gene Ambrocio and John Juselius
- 1/2020: How effective is the Taylor rule? Some insights from the time-frequency domain

- Patrick Crowley and David Hudgins
- 7/2019: Mastering Central Bank Communication Challenges via Twitter

- Iikka Korhonen and Elisa Newby
- 6/2019: Fiscal Stabilization in the United States: Lessons for Monetary Unions

- Plamen Nikolov and Paolo Pasimeni
- 5/2019: Talous kasvaa - vai kasvaako? Kansantalouden tilinpidon revisiot tarkastelussa

- Suvi Kangasrääsiö
- 4/2019: Banking crisis prediction with differenced relative credit

- Karlo Kauko and Eero Tölö
- 3/2019: Cross-border loan portfolio diversification, capital requirements, and the European Banking Union

- Esa Jokivuolle and Matti Virén
- 2/2019: An unobserved components model for Finland – Estimates of potential output and NAWRU

- Mikko Sariola
- 1/2019: The macroeconomic implications of measurement problems due to digitalisation

- Juha Itkonen
- 2/2018: Level, distribution and long-term development of market power in Finland

- Olli-Matti Laine
- 1/2018: The great illusion of digital currencies

- Aleksi Grym
- 6/2017: Nowcasting the Finnish economy with a large Bayesian vector autoregressive model

- Juha Itkonen and Petteri Juvonen
- 5/2017: Central bank digital currency

- Aleksi Grym, Päivi Heikkinen, Karlo Kauko and Kari Takala
- 4/2017: Digitaalinen keskuspankkiraha (Central bank digital currency)

- Aleksi Grym, Päivi Heikkinen, Karlo Kauko and Kari Takala
- 3/2017: Yritysdynamiikka ja makrotalous – luovan tuhon merkkejä etsimässä

- Juha Kilponen
- 2/2017: Neo-Fisherian monetary policy

- Mika Kortelainen
- 1/2017: Two tales of the natural rate of interest

- Lauri Vilmi