Bank of Finland Research Discussion Papers
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- 28/2004: Stable price level and changing prices

- Antti Suvanto and Juhana Hukkinen
- 27/2004: Less cash on the counter: forecasting Finnish payment preferences

- Hanna Jyrkönen
- 26/2004: Trading Nokia: the roles of the Helsinki vs the New York stock exchanges

- Esa Jokivuolle and Markku Lanne
- 25/2004: Multihoming in the market for payment media: evidence from young Finnish consumers

- Ari Hyytinen and Tuomas Takalo
- 24/2004: The impact of macroeconomic news on exchange rate volatility

- Helinä Laakkonen
- 23/2004: Heterogenous information about the term structure, least-squares learning and optimal rules for inflation targeting

- Eric Schaling, Sylvester C. W. Eijffinger and Mewael F. Tesfaselassie
- 22/2004: Labour market reform and the sustainability of exchange rate pegs

- Olli Castrén, Tuomas Takalo and Geoffrey Wood
- 21/2004: Inflation dynamics in the euro area and the role of expectations: further results

- Maritta Paloviita
- 20/2004: Monetary consequences of alternative fiscal policy rules

- Jukka Railavo
- 19/2004: Expectational business cycles

- Eran A. Guse
- 18/2004: Macro stress testing with a macroeconomic credit risk model for Finland

- Kimmo Virolainen
- 17/2004: The efficiency implications of financial conglomeration

- Ville Mälkönen
- 16/2004: The use of real time information in Phillips curve relationships for the euro area

- Maritta Paloviita and David Mayes
- 15/2004: The anticipated and concurring effects of the EMU: exchange rate volatility, institutions and growth

- Michele Bagella, Leonardo Becchetti and Iftekhar Hasan
- 14/2004: Asymmetric information in credit markets and entrepreneurial risk taking

- Timo Vesala
- 13/2004: Large value payment systems: principles and present and future developments

- Timo Iivarinen
- 12/2004: Measuring the long-term perception of monetary policy and the term structure

- Nicolas Rautureau
- 11/2004: Equilibrium unemployment and investment under product and labour market imperfections

- Heikki Kauppi, Erkki Koskela and Rune Stenbacka
- 10/2004: Capital adequacy regulation and financial conglomerates

- Ville Mälkönen
- 9/2004: Asymmetries in the Euro area economy

- David Mayes and Matti Virén
- 8/2004: Further evidence on the link between finance and growth: an international analysis of community banking and economic performance

- Allen N. Berger, Iftekhar Hasan and Leora Klapper
- 7/2004: Monopoly rights can reduce income big time

- Berthold Herrendorf and Arilton Teixeira
- 6/2004: Unintended convergence: how Finnish unemployment reached the European level

- Erkki Koskela and Roope Uusitalo
- 5/2004: Robust expectations and uncertain models: a robust contol approach with application to the new Keynesian economy

- Juha Kilponen
- 4/2004: An approach to bank insolvency in transition and emerging economies

- David Mayes
- 3/2004: Monetary policy and learning in an open economy

- Martin Ellison, Lucio Sarno and Jouko Vilmunen
- 2/2004: Extracting growth and inflation expectations from financial market data

- Lauri Kajanoja
- 1/2004: Stability consequences of fiscal policy rules

- Jukka Railavo
- 35/2003: A calibrated structural model of the Czech economy

- Tibor Hlédik
- 34/2003: Effects of the supply-side channel on stabilisation properties of policy rules

- Jukka Railavo
- 33/2003: Determinants of the loan loss allowance: some cross-country comparisons

- Iftekhar Hasan and Larry Wall
- 32/2003: Kohtaantofunktio suomalaisilla työmarkkinoilla vuosina 1988-2002: alue- ja ammattiryhmien väliset erot kohtaannon tehokkuudessa

- Markus Bunders
- 31/2003: The rigidity bias

- Risto Herrala
- 30/2003: Adaptive learning and multiple equilibria in a natural rate monetary model with unemployment persistence

- Anssi Rantala
- 29/2003: Irreversible investment under interest rate variability: new results

- Luis Alvarez and Erkki Koskela
- 28/2003: Are adverse selection models of debt robust to changes in market structure?

- Jukka Vauhkonen
- 27/2003: Staggered prices and trend inflation: Some nuisances

- Guido Ascari
- 26/2003: Interlinking securities settlement systems: A strategic commitment?

- Karlo Kauko
- 25/2003: Preventing systemic crises through bank transparency

- Ari Hyytinen and Tuomas Takalo
- 24/2003: Buffer funding of unemployment insurance in a dynamic labour union model

- Marja-Liisa Halko
- 23/2003: Simulating interbank payments and securities settlement mechanism with the BoF-PSS2 simulator

- Harry Leinonen and Kimmo Soramäki
- 22/2003: Policy interaction, expectation and the liquidity trap

- George Evans and Seppo Honkapohja
- 21/2003: The role of market discipline in handling problem banks

- David T. Llewellyn and David Mayes
- 20/2003: Learning, inflation expectations and optimal monetary policy

- Eric Schaling
- 19/2003: Equilibrium unemployment under negotiated profit sharing

- Erkki Koskela and Rune Stenbacka
- 18/2003: A Positive theory of monetary policy and robust control

- Juha Kilponen
- 17/2003: Investor protection and business creation

- Ari Hyytinen and Tuomas Takalo
- 16/2003: Competition and regulation in European retail payment systems

- Kari Kemppainen
- 15/2003: Cross-country asymmetries in euro area monetary transmission: The role of national financial systems

- Hanna Putkuri
- 14/2003: Financial contracts and contingent control rights

- Jukka Vauhkonen