Bank of Finland Research Discussion Papers
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- 34/1995: Financial factors and the macroeconomy

- Carolina Sierimo and Matti Virén
- 33/1995: Luottolaitoksen omaisuuserien markkina-arvoihin perustuva tilinpäätös

- Pentti Junninen
- 32/1995: Relative prices and monetary policy information variables: Long run evidence from Finland

- Antti Ripatti and Jouko Vilmunen
- 31/1995: Suomen Pankin sekkitilijärjestelmä: Nykytilanne ja tulevaisuuden haasteita

- Marianne Palva and Jyri Marviala
- 30/1995: Default risk on Finnish government foreign currency debt

- Erja Saukkonen
- 29/1995: The equilibrium exchange rate for the Finnish Markka

- Tuomas Saarenheimo
- 28/1995: Bankruptcies, indebtedness and the credit cruch

- Kari Takala and Matti Virén
- 27/1995: Output gaps and the government budget balance: The case of Finland

- Kaare Guttorm Andersen and Hanna-Leena Männistö
- 26/1995: Suomen Pankin kotimainen luotonanto 1868-1992. Kuukausitilastot

- Vappu Ikonen
- 25/1995: Compilation of early warning indicators for foreign trade employing a cut-off survey

- Jorma Hilpinen
- 24/1995: Leading inflation indicators in Finland: pairwise analysis of Granger-causality and cointegration

- Antti Ripatti
- 23/1995: Fiat exchange in finite economies

- Dan Kovenock and Casper G. de Vries
- 22/1995: Korkojen aikarakenne, inflaatio-odotukset ja inflaatio

- Maaria Kettunen
- 21/1995: Nominal income as an intermediate target for monetary policy

- Jouni Timonen
- 20/1995: The consumption function revisited: an error-correction model for Finnish consumption

- Kari Takala
- 19/1995: Inflation targeting: analyzing indicators of inflation in Finland

- Kaare G. Andersen
- 18/1995: Employment and the structure of the Finnish economy: a model for evaluating scenarios

- Johnny Åkerholm, Timo Hämäläinen and Mika Kuismanen
- 17/1995: Exchange rates and import prices in Finland: estimation of exchange rate pass-through

- Mika Kuismanen
- 16/1995: Pankkien korkomarginaalit ja korkokatteet Pohjoismaissa

- Heikki Koskenkylä and Jaana Rantama
- 15/1995: Permanent income hypothesis and saving in Finland

- Kari Takala
- 14/1995: The banking crisis, banking policy regimes and the value of a bank

- Risto Murto
- 13/1995: Inflation targeting in the UK monetary policy framework

- Eddie George
- 12/1995: Wage determination in the long run, real wage resistance and unemployment: Multivariate analysis of cointegrating relations in 10 OECD economies

- Timo Tyrväinen
- 11/1995: The interest rate sensitivity of output in Finland

- Kari Takala
- 10/1995: Aggregate investment and corporate indebtedness, Some empirical avidence from Finland

- Lauri Kajanoja
- 9/1995: Testing nonlinear dynamics, long memory and chaotic behaviour with macroeconomic data

- Kari Takala and Matti Virén
- 8/1995: Voidaanko Suomen pitkien korkojen tasoa selittää talouden perustekijöillä, vai onko kyse jostain muusta?

- Juhana Hukkinen and Erkki Koskela
- 7/1995: On the role of the single currency ECU

- Sinimaaria Ranki
- 6/1995: Credit crunch caused investment slump? An empirical analysis using Finnish data

- Tuomas Saarenheimo
- 5/1995: Assessing the performance of a macroeconomic model

- Juhana Hukkinen and Matti Virén
- 4/1995: Analysis on the errors and omissions in the Finnish balance of payments: restless capital movements, floating exchange rate and errors since 1991

- Jorma Hilpinen
- 3/1995: Multiple uncertainty, forward-futures markets and international trade

- Jean-Marie Viaene and Itzhak Zilcha
- 2/1995: Fundamental equilibrium exchange rate: a case study of the Finnish Markka

- Liselotte Hoej
- 1/1995: Valuuttakurssimuutosten vaikutus yritysten kannattavuuteen

- Olavi Rantala
- 25/1994: Pankkisektorin tuloskehitysta seuraava ja ennustava malli

- Risto Herrala
- 24/1994: The indicator of underlying inflation: Basic idea and use

- Mikko Spolander
- 23/1994: Finnish banks' problem assets: Result of unfortunate asset structure of too rapid growth?

- Heikki Solttila and Vesa Vihriälä
- 22/1994: Johdannaismarkkinoiden toiminta ja riskit

- Eelis Hein
- 21/1994: Measuring inflation expectations in Finland: a survey data approach

- Mika Kuismanen and Mikko Spolander
- 20/1994: Pohjoismaiden pankkien tilanne vuonna 1994

- Heikki Koskenkylä
- 19/1994: Short-selling restrictions, strategic stock holdings and index futures markets in Finland

- Pekka Hietala, Esa Jokivuolle and Yrjö Koskinen
- 18/1994: Risk sharing in the pricing of payment services by banks

- Juha Tarkka
- 17/1994: Monopoly unions, corporatism and optimal structure of labour taxation

- Erkki Koskela and Jouko Vilmunen
- 16/1994: Finnish deposit banks 1980-1993: years of rapid growth and crisis

- Heikki Koskenkylä and Jukka Vesala
- 15/1994: The level of a central bank's international reserves: theory and cross-country analysis

- Taru Lehto
- 14/1994: Investment plans, innovations and credit market deregulation: Empirical results with the Finnish data

- Ilmo Pyyhtiä
- 13/1994: Nonlinear dynamics of speculative attacks on the Finnish markka, 1987-1992

- Risto Murto
- 12/1994: Suorien sijoitusten uudelleen sijoitettujen voittojen seuranta ja ennustaminen

- Aija Salomaa
- 11/1994: Chaos and nonlinear dynamics: evidence from Finland

- Kari Takala and Matti Virén
- 10/1994: Spekulatiivisten hyökkäysten teoria ja paineet Suomen markan kurssia kohtaan 1985-1992

- Lauri Kajanoja