Bank of Finland Research Discussion Papers
From Bank of Finland
Contact information at EDIRC.
Bibliographic data for series maintained by ZBW - Leibniz Information Centre for Economics ().
Access Statistics for this working paper series.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
- 13/2003: Banks' equity stakes in borrowing firms: A corporate finance approach

- Jukka Vauhkonen
- 12/2003: Optimal discretionary monetary policy in the open economy: Choosing between CPI and domestic inflation as target variables

- Alfred Guender
- 11/2003: Labour market flexibility and policy coordination in a monetary union

- Anssi Rantala
- 10/2003: Friedman's money supply rule vs optimal interest rate policy

- George Evans and Seppo Honkapohja
- 9/2003: Money as an indicator variable for monetary policy when money demand is forward looking

- Lauri Kajanoja
- 8/2003: Card, Internet and mobile payments in Finland

- Hanna Jyrkönen and Heli Paunonen
- 7/2003: Restructuring securities systems processing: A blue print proposal for real-time/t+0 processing

- Harry Leinonen
- 6/2003: Equilibrium in financial markets with adverse selection

- Tuomas Takalo and Otto Toivanen
- 5/2003: Economic evaluation of bank exit regimes in US, EU and Japanese financial centres

- Peik Granlund
- 4/2003: Simulation-based stress testing of banks' regulatory capital adequacy

- Samu Peura and Esa Jokivuolle
- 3/2003: Aasian, Venäjän ja Turkin rahoituskriisien vertailua

- Johanna Lukkarila
- 2/2003: Do networks in the stock exchange industry pay off? European evidence

- Iftekhar Hasan and Heiko Schmiedel
- 1/2003: Payment systems efficiency, policy approaches, and the role of the central bank

- Tanai Khiaonarong
- 29/2002: Adaptive learning and monetary policy design

- George Evans and Seppo Honkapohja
- 28/2002: Väestön vanheneminen, työmarkkinat ja julkisen talouden näkymät

- Helvi Kinnunen
- 27/2002: Links between securities settlement systems: An oligopoly theoretic approach

- Karlo Kauko
- 26/2002: Economies of scale and technological development in securities depository and settlement systems

- Heiko Schmiedel, Markku Malkamäki and Juha Tarkka
- 25/2002: Bank exit legislationin US, EU and Japanese financial centres

- Peik Granlund
- 24/2002: Variable rate liquidity tenders

- Tuomas Välimäki
- 23/2002: Settlement in modern network-based payment infrastructures: Description and prototype of the E-Settlement model

- Harry Leinonen, Veli-Matti Lumiala and Riku Sarlin
- 22/2002: Dynamics of investment behaviour in Finland: Aggregate and firm level evidence

- Jouko Vilmunen
- 21/2002: Nonlinear dynamics of interest rate and inflation

- Markku Lanne
- 20/2002: Inflation dynamics in the euro area and the role of expectations

- Maritta Paloviita
- 19/2002: Reconciling the new keynesian model with observed persistence

- Kenneth Leong
- 18/2002: Policy interaction, learning and the fiscal theory of prices

- George Evans and Seppo Honkapohja
- 17/2002: Lender of last resort and the moral hazard problem

- Mikko Niskanen
- 16/2002: A Descriptive analysis of the Finnish treasury bond market 1991-1999

- Matti Keloharju, Markku Malkamäki, Kjell Nyborg and Kristian Rydqvist
- 15/2002: Banks' option to lend, interest rate sensitivity, and credit availability

- Iftekhar Hasan and Sarkar Sudipto
- 14/2002: Effects of fiscal policy on the durability of low inflation regimes

- Tapio Pohjola
- 13/2002: Riskirahastot

- Pertti Pylkkönen
- 12/2002: Banking sector output and labour productivity in six European countries

- Leena Mörttinen
- 11/2002: Total factor productivity growth in European stock exchanges: A non-parametric frontier approach

- Heiko Schmiedel
- 10/2002: Cash usage in Finland: How much can be explained?

- Heli Paunonen and Hanna Jyrkönen
- 9/2002: Return-volatility linkages in the international equity and currency markets

- Bill B. Francis, Iftekhar Hasan and Delroy M. Hunter
- 8/2002: Law or finance: evidence from Finland

- Ari Hyytinen, Iikka Kuosa and Tuomas Takalo
- 7/2002: Fiscal policy: Coordination, discipline and stabilisation

- Anne Brunila
- 6/2002: Cyclical stabilisation under the stability and growth pact: How effective are automatic stabilisers?

- Anne Brunila, Marco Buti and Jan in 't Veld
- 5/2002: Financial institutions and the allocation of talent

- Vesa Kanniainen and Mikko Leppämäki
- 4/2002: Technology, automation and productivity of stock exchanges: International evidence

- Iftekhar Hasan, Markku Malkamäki and Heiko Schmiedel
- 3/2002: Performance of monetary policy with internal central bank forecasting

- Seppo Honkapohja and Kaushik Mitra
- 2/2002: Forecasting the macroeconomy with current financial market information: Europe and the United States

- Juha Junttila
- 1/2002: Bidding in fixed rate tenders: Theory and experience with the ECB tenders

- Tuomas Välimäki
- 26/2001: Payment and financial innovation, reserve demand and implementation of monetary policy

- Harri Lahdenperä
- 25/2001: Finnish monetary and foreign exchange policy and the changeover to the euro

- Tapio Korhonen
- 24/2001: Securities market ATSs concepts, their roles and related policy issues

- Kari Korhonen
- 23/2001: Should unemployment benefits decrease as the unemployment spell lengthens?

- Tuomas Saarenheimo
- 22/2001: Stock exchange alliances, access fees and competition

- Oz Shy and Juha Tarkka
- 21/2001: Technological development and concentration of stock exchanges in Europe

- Heiko Schmiedel
- 20/2001: Output gaps and technological progress in European monetary Union

- Maria Antoinette Dimitz
- 19/2001: Labour taxation and employment in trade union models: a partial survey

- Erkki Koskela