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.
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- 24/2017: Enforceability of non-complete agreements: When does state stifle productivity?

- Smriti Anand, Iftekhar Hasan, Priyanka Sharma and Haizhi Wang
- 23/2017: Real effects of bank capital regulations: Global evidence

- Yota D. Deli and Iftekhar Hasan
- 22/2017: On the effect of business and economic university education on political ideology: An empirical note

- Manthos D. Delis, Iftekhar Hasan and Maria Iosifidi
- 21/2017: Does social capital matter in corporate decisions? Evidence from corporate tax avoidance

- Iftekhar Hasan, Hoi, Chun-Keung (Stan), Qiang Wu and Hao Zhang
- 20/2017: Efficiency and dependency in a network of linked permit markets

- Juha Itkonen
- 19/2017: Secrecy, information shocks, and corporate investment: Evidence from European Union countries

- Mohamad Mazboudi and Iftekhar Hasan
- 18/2017: The risk-taking channel of monetary policy in the US: Evidence from corporate loan data

- Manthos D. Delis, Iftekhar Hasan and Nikolaos Mylonidis
- 17/2017: The impacts of intellectual property rights protection on cross-border M&As

- Iftekhar Hasan, Fahad Khalil and Xian Sun
- 16/2017: Do managerial risk-taking incentives influence firms' exchange rate exposure?

- Bill B. Francis, Iftekhar Hasan, Delroy M. Hunter and Yun Zhu
- 15/2017: On moral hazard and persistent private information

- Suvi Vasama
- 14/2017: Contracting with long-term consequences

- Suvi Vasama
- 13/2017: Formation of inflation expectations in turbulent times: Can ECB manage inflation expectations of professional forecasters?

- Tomasz Łyziak and Maritta Paloviita
- 12/2017: Accounting for debt service: The painful legacy of credit booms

- Mathias Drehmann, John Juselius and Anton Korinek
- 11/2017: Wavelet decomposition of the financial cycle: An early warning system for financial tsunamis

- Ville Voutilainen
- 10/2017: Should bank capital requirements be less risk-sensitive because of credit constraints?

- Gene Ambrocio and Esa Jokivuolle
- 9/2017: Controlling inflation with switching monetary and fiscal policies: expectations, fiscal guidance and timid regime changes

- Guido Ascari, Anna Florio and Alessandro Gobbi
- 8/2017: Uncertainty and monetary policy in good and bad times

- Giovanni Caggiano, Efrem Castelnuovo and Gabriela Nodari
- 7/2017: High-skilled migration and agglomeration

- Sari Pekkala Kerr, William Kerr, Çağlar Özden and Christopher Parsons
- 6/2017: Estimating the real effects of uncertainty shocks at the zero lower bound

- Giovanni Caggiano, Efrem Castelnuovo and Giovanni Pellegrino
- 5/2017: Information acquisition during a descending price auction with asymmetrically informed players

- Paavo Miettinen
- 4/2017: House prices, lending standards, and the macroeconomy

- Aino Silvo
- 3/2017: Global collaborative patents

- Sari Pekkala Kerr and William Kerr
- 2/2017: Global talent flows

- Sari Pekkala Kerr, William Kerr, Çağlar Özden and Christopher Parsons
- 1/2017: Forecasting the equity risk premium with frequency-decomposed predictors

- Gonçalo Faria and Fabio Verona
- 33/2016: Immigrant entrepreneurship

- Sari Pekkala Kerr and William Kerr
- 32/2016: Testing the Q theory of investment in the frequency domain

- Juha Kilponen and Fabio Verona
- 31/2016: Securitization: a financing vehicle for all seasons?

- Bonnie G. Buchanan
- 30/2016: Learning from financial crisis: the experience of Nordic banks

- Tom Berglund and Mikko Mäkinen
- 29/2016: Forecasting stock market returns by summing the frequency-decomposed parts

- Gonçalo Faria and Fabio Verona
- 28/2016: International propagation of financial shocks in a search and matching environment

- Marlène Isoré
- 27/2016: Use of unit root methods in early warning of financial crises

- Timo Virtanen, Eero Tölö, Matti Virén and Katja Taipalus
- 26/2016: The effect of foreign institutional ownership on corporate tax avoidance: international evidence

- Iftekhar Hasan, Incheol Kim, Haimeng Teng and Qiang Wu
- 25/2016: Expectations, stagnation and fiscal policy

- George Evans, Seppo Honkapohja and Kaushik Mitra
- 24/2016: Monetary policy, the financial cycle and ultralow interest rates

- John Juselius, Claudio Borio, Piti Disyatat and Mathias Drehmann
- 23/2016: Bank enforcement actions and the terms of lending

- Yota Deli, Manthos D. Delis, Iftekhar Hasan and Liuling Liu
- 22/2016: Bond finance, bank credit, and aggregate fluctuations in an open economy

- Roberto Chang, Andrés Fernández and Adam Gulan
- 21/2016: Analysis of the balance between U.S. monetary and fiscal policy using simulated wavelet-based optimal tracking control

- Patrick Crowley and David Hudgins
- 20/2016: Exhange rate linkages between the Asean currencies, the US dollar and the Chinese RMB

- Guglielmo Maria Caporale, Luis Gil-Alana and Kefei You
- 19/2016: A shadow rate model with time-varying lower bound of interest rates

- Tomi Kortela
- 18/2016: Macroprudential measures and housing markets: a note on the empirical literature

- Essi Eerola
- 17/2016: How to explain errors in budget balance forecasts in euro area countries? Empirical evidence based on real-time data

- Maritta Paloviita and Pasi Ikonen
- 16/2016: The Aino 2.0 model

- Juha Kilponen, Seppo Orjasniemi, Antti Ripatti and Fabio Verona
- 15/2016: How informative are aggregated inflation expectations? Evidence from the ECB Survey of Professional Forecasters

- Sami Oinonen and Maritta Paloviita
- 14/2016: Time-frequency characterization of the U.S. financial cycle

- Fabio Verona
- 13/2016: Debt structure when bankruptcy law offers incentives to restructure

- Iftekhar Hasan, Kose John and Padma Kadiyalad
- 12/2016: Saving Wall Street or main street

- Markus Haavio, Antti Ripatti and Tuomas Takalo
- 11/2016: Uncertainty and firm dividend policy – a natural experiment

- Bonnie Buchanan, Cao, Xuying (Cathy), Eva Liljeblom and Susan Weihrich
- 10/2016: How large banks use CDS to manage risks: bank-firm-level evidence

- Iftekhar Hasan and Deming Wu
- 9/2016: Credit default swaps and bank loan sales: evidence from bank syndicated lending

- Iftekhar Hasan and Deming Wu
- 8/2016: When do peers matter? A cross-country perspective

- Bill B. Francis, Iftekhar Hasan and Gergana L. Kostova
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