Bank of Finland Research Discussion Papers
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- 3/2000: Markets, reserves and lenders of last resort as sources of bank liquidity

- Risto Herrala
- 2/2000: A model for estimating recovery rates and collateral haircuts for bank loans

- Esa Jokivuolle and Samu Peura
- 1/2000: Substitution on noncash payment instruments for cash in Europe

- Jussi Snellman, Jukka Vesala and David Humphrey
- 23/1999: Industry equilibrium with outside financing and moral hazard: Effects of market integration

- Matti Suominen
- 22/1999: The value of publishing official central bank forecasts

- Juha Tarkka and David Mayes
- 21/1999: Strategic challenges for exchanges and securities settlement

- Markku Malkamäki and Jukka Topi
- 20/1999: Testing the expectations hypothesis of the term structure of interest rates in the presence of a potential regime shift

- Markku Lanne
- 19/1999: Stock return on Scandinavian stock markets and the banking industry: Evidence from the years of financial liberalisation and banking crisis

- Ari Hyytinen
- 18/1999: Changes in Finland's international investment position, 1985-1998: A brief statistical analysis

- Jorma Hilpinen and Heikki Hella
- 17/1999: The nonlinearity of the Phillips curve and European monetary policy

- Ilmo Pyyhtiä
- 16/1999: Optimizing liquidity usage and settlement speed in payment systems

- Harry Leinonen and Kimmo Soramäki
- 15/1999: Rahapolitiikan säännöt: Katsaus kirjallisuuteen

- Tapio Peura
- 14/1999: The effects of transmission uncertainty on the flexibility-credibility tradeoff in monetary policy

- Marc-Alexandre Senegas and Jouko Vilmunen
- 13/1999: Bank relationships and small-business closures during the Finnish recession of the 1990s

- Helvi Kinnunen and Vesa Vihriälä
- 12/1999: Anticipated monetary policy and the dynamic behaviour of the term structure of interest rates

- Jarkko Jääskelä and Jouko Vilmunen
- 11/1999: Divergences in the euro area: A cause for concern?

- Nils Björkstén and Miika Syrjänen
- 10/1999: Unemployment in a small open economy: Finland and New Zealand

- David Mayes and Jouko Vilmunen
- 9/1999: Central bank independence and wage bargaining structure: Empirical evidence

- Juha Kilponen
- 8/1999: Forecasting the electronification of payments with learning curves: The case of Finland

- Jussi Snellman and Jukka Vesala
- 7/1999: The inflation target and the structure of labour markets: Implications for common monetary policy

- Juha Kilponen
- 6/1999: On the estimation of Euler equations in the presence of a potential regime shift

- Pentti Saikkonen and Antti Ripatti
- 5/1999: Valuuttakauppojen selvitysriskit ja niiden hallinta

- Risto Herrala and Risto Nieminen
- 4/1999: Are there economies of scale in stock exchange activities?

- Markku Malkamäki
- 3/1999: Euroopan pankkien kehitysnäkymiä

- Atso Andersén, Mikko Niskanen and Sami Ylä-Outinen
- 2/1999: Accountability of the ECB and a government's incentives to rebel against the common monetary policy in EMU

- Olli Castrén
- 1/1999: Indicators of the cyclically adjusted budget balance: The Bank of Finland's experience

- Anne Brunila, Juhana Hukkinen and Mika Tujula
- 31/1998: What do we know about productivity gaps and convergence in EMU economies?

- Timo Tyrväinen
- 30/1998: Ilmoitusvelvollisten osakekaupan ajoitus ja tuotot

- Juha Kasanen
- 29/1998: Cointegrated vector autoregressive processes with continuous structural changes

- Antti Ripatti and Pentti Saikkonen
- 28/1998: Developing the interbank payment system: Efficiency of public versus private investments

- Karlo Kauko
- 27/1998: The exchange rate and monetary conditions in the euro area

- David Mayes and Matti Virén
- 26/1998: Suomen ja Saksan budjettialijäämäerojen vaikutus nimelliskorkoeroon

- Outi Virtanen
- 25/1998: Sustainability of public finances in Finland and the four largest Euro-area Economies

- Helvi Kinnunen and Pasi Kuoppamäki
- 24/1998: Simulating the effects of imperfect credibility: How does the Peso problem affect the real economy?

- Veli-Matti Mattila
- 23/1998: Improving banking supervision

- David Mayes
- 22/1998: Market structure and risk taking in the banking industry

- Oz Shy and Rune Stenbacka
- 21/1998: The market for electronic cash cards

- Oz Shy and Juha Tarkka
- 20/1998: On the problems of the home country control

- David Mayes and Jukka Vesala
- 19/1998: Suomen Pankin tase vuosina 1868-1992: Kuukausisarjat

- Vappu Ikonen
- 18/1998: Delivery networks and pricing behaviour in banking: An empirical investigation using Finnish data

- Jukka Vesala
- 17/1998: Japanin rahoitusmarkkinoiden rakenne ja pankkikriisi

- Atso Andersén
- 16/1998: Interbank funds transfer systems: Liquidity needs, counterparty risks and collateral

- Harry Leinonen
- 15/1998: Is there scope for inflation differentials in EMU? An empirical evaluation of the Balassa-Samuelson model in EMU countries
- Enrique Alberola and Timo Tyrväinen
- 14/1998: Monetary policy delegation, labour market structure and fiscal-monetary policy coordination

- Olli Castrén
- 13/1998: Macroeconomic effects of looming policy shifts: Non-falsified expectations and Peso problems

- Jouko Vilmunen
- 12/1998: House prices and inflation: a cointegration analysis for Finland and Sweden

- Bharat Barot and Kari Takala
- 11/1998: Pörssiyhtiöiden sisäpiirin osakekauppa ja -omistus Suomessa

- Juha Kasanen
- 10/1998: The BOF5 macroeconomic model of Finland: Structure and equations

- Alpo Willman, Mika Kortelainen, Hanna-Leena Männistö and Mika Tujula
- 9/1998: Maksuliikkeen katteensiirtojärjestelmät: Likviditeettitarpeet, vastapuoliriskit ja vakuuskäytännöt

- Harry Leinonen
- 8/1998: Technological transformation and nonbank competition in a model of retail banking oligopoly

- Jukka Vesala