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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- 7/2016: Corporate social responsibility and firm financial performance: the mediating role of productivity

- Iftekhar Hasan, Nada Kobeissi, Liuling Liu and Haizhi Wang
- 6/2016: Relative peer quality and firm performance

- Bill Francis, Iftekhar Hasan, Sureshbabu Mani and Pengfei Ye
- 5/2016: CEO political preference and corporate tax sheltering

- Bill B. Francis, Iftekhar Hasan, Xian Sun and Qiang Wu
- 4/2016: The age-structure–inflation puzzle

- John Juselius and Elod Takats
- 3/2016: Leverage dynamics and the burden of debt

- John Juselius and Mathias Drehmann
- 2/2016: Switching costs and financial stability

- Rune Stenbacka and Tuomas Takalo
- 1/2016: The interaction of monetary and macroprudential policies in economic stabilisation

- Aino Silvo
- 30/2015: Who benefits from public housing?

- Essi Eerola and Tuukka Saarimaa
- 29/2015: Are too-big-to-fail banks history in Europe? Evidence from overnight interbank loans

- Eero Tölö, Esa Jokivuolle and Matti Virén
- 28/2015: Financing innovation

- William Kerr and Ramana Nanda
- 27/2015: Agglomeration and innovation

- Gerald Carlino and William Kerr
- 26/2015: Transition to clean technology

- Daron Acemoglu, Ufuk Akcigit, Douglas Hanley and William Kerr
- 25/2015: Networks and the macroeconomy: an empirical exploration

- Daron Acemoglu, Ufuk Akcigit and William Kerr
- 24/2015: Rational exuberance booms and asymmetric business cycles

- Gene Ambrocio
- 23/2015: Innovation and competition in Internet and mobile banking: an industrial organization perspective

- Carlotta Mariotto and Marianne Verdier
- 22/2015: Cash management and payment choices: a simulation model with international comparisons

- Carlos Alberto Arango, Yassine Bouhdaoui, David Bounie, Martina Eschelbach and Lola Hernandez
- 21/2015: Social capital and debt contracting: evidence from bank loans and public bonds

- Iftekhar Hasan, Hoi, Chun-Keung (Stan), Qiang Wu and Hao Zhang
- 20/2015: Matching and credit frictions in the housing market

- Essi Eerola and Niku Määttänen
- 19/2015: Does the type of debt matter? Stock market perception in Europe

- Zuzana Fungáčová, Christophe Godlewski and Laurent Weill
- 18/2015: Monetary policies to counter the zero interest rate: an overview of research

- Seppo Honkapohja
- 17/2015: What type of finance matters for growth? Bayesian model averaging evidence

- Iftekhar Hasan, Roman Horvath and Jan Mares
- 16/2015: Firms' risk endogenous to strategic management choices

- Manthos D. Delis, Iftekhar Hasan and Efthymios G. Tsionas
- 15/2015: Regulations, institutions and income smoothing by managing technical reserves: international evidence from the insurance industry

- Chrysovalantis Gaganis, Iftekhar Hasan and Fotios Pasiouras
- 14/2015: The effect of board directors from countries with different genetic diversity levels on corporate performance

- Manthos D. Delis, Chrysovalantis Gaganis, Iftekhar Hasan and Fotios Pasiouras
- 13/2015: Evidence for the existence of downward real earnings management

- Bill Francis, Iftekhar Hasan and Lingxiang Li
- 12/2015: Euro area monetary and fiscal policy tracking design in the time-frequency domain

- Patrick Crowley and David Hudgins
- 11/2015: Are monetary unions more synchronous than non-monetary unions?

- Patrick Crowley and Christopher Trombley
- 10/2015: Why are bank runs sometimes partial?

- Ilkka Kiema and Esa Jokivuolle
- 9/2015: Comparing inflation and price level targeting: the role of forward guidance and transparency

- Seppo Honkapohja and Kaushik Mitra
- 8/2015: Indicators used in setting the countercyclical capital buffer

- Simo Kalatie, Helinä Laakkonen and Eero Tölö
- 7/2015: Measuring financial stress – A country specific stress index for Finland

- Jarkko Huotari
- 6/2015: Toward robust early-warning models: A horse race, ensembles and model uncertainty

- Markus Holopainen and Peter Sarlin
- 5/2015: Bonus caps, deferrals and bankers' risk-taking

- Esa Jokivuolle, Jussi Keppo and Xuchuan Yuan
- 4/2015: Relevance of uncertainty on the volatility and trading volume in the US Treasury bond futures market

- Helinä Laakkonen
- 3/2015: Which financial stocks did short sellers target in the subprime crisis?

- Iftekhar Hasan, Nadia Massoud, Anthony Saunders and Keke Song
- 2/2015: Shifts in euro area Beveridge curves and their determinants

- Boele Bonthuis, Valerie Jarvis and Juuso Vanhala
- 1/2015: The net stable funding ratio requirement when money is endogenous

- Karlo Kauko
- 33/2014: The determinants of global bank credit-default-swap spreads

- Iftekhar Hasan, Liuling Liu and Gaiyan Zhang
- 32/2014: Fiscal policy tracking design in the time frequency domain using wavelet analysis

- Patrick Crowley and David Hudgins
- 31/2014: Updating the euro area Phillips curve: the slope has increased

- Sami Oinonen and Maritta Paloviita
- 30/2014: Childhood experience of father's job loss and stock market participation

- Antti Lehtoranta
- 29/2014: Analysis of aggregated inflation expectations based on the ECB SPF survey

- Sami Oinonen and Maritta Paloviita
- 28/2014: Crisis performance of European banks – does management ownership matter?

- Hanna Westman
- 27/2014: Leverage constraints and real interest rates

- Jukka Isohätälä, Feo Kusmartsev, Alistair Milne and Donald Robertson
- 26/2014: The net worth trap: investment and output dynamics in the presence of financing constraints

- Jukka Isohätälä, Alistair Milne and Donald Robertson
- 25/2014: The effects of ratings-contingent regulation on international bank lending behavior: Evidence from the Basel 2 accord

- Iftekhar Hasan, Suk-Joong Kim and Eliza Wu
- 24/2014: Kiss me deadly: From Finnish great depression to great recession

- Adam Gulan, Markus Haavio and Juha Kilponen
- 23/2014: Volatility transfers between cycles: A theory of why the "great moderation" was more mirage than moderation

- Patrick Crowley and Andrew Hughes Hallett
- 22/2014: Bank ownership structure, SME lending and local credit markets

- Iftekhar Hasan, Krzysztof Jackowicz, Oskar Kowalewski and Łukasz Kozłowski
- 21/2014: Financial shocks, financial stability, and optimal Taylor rules

- Fabio Verona, Manuel Martins and Inês Drumond
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