Bank of Finland Research Discussion Papers
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- 24/2009: Expectations, deflation traps and macroeconomic policy

- George Evans and Seppo Honkapohja
- 23/2009: Credit allocation, capital requirements and procyclicality

- Esa Jokivuolle, Ilkka Kiema and Timo Vesala
- 22/2009: Does State Street lead to Europe? The case of financial exchange innovations

- Mari Komulainen and Tuomas Takalo
- 21/2009: A new value-weighted total return index for the Finnish stock market

- Peter Nyberg and Mika Vaihekoski
- 20/2009: Testing the structural interpretation of the price puzzle with a cost channel model

- Efrem Castelnuovo
- 19/2009: Screening in the credit market when the collateral value is stochastic

- Juha-Pekka Niinimäki
- 18/2009: Noncausal vector autoregression

- Markku Lanne and Pentti Saikkonen
- 17/2009: Early intervention and prompt corrective action in Europe

- David Mayes
- 16/2009: Blanket guarantee and restructuring decisions for multinational banks in a bargaining model

- Juha-Pekka Niinimäki and Ville Mälkönen
- 15/2009: Productivity and job flows: heterogeneity of new hires and continuing jobs in the business cycle

- Juha Kilponen and Juuso Vanhala
- 14/2009: House price fluctuations and residential sorting

- Markus Haavio and Heikki Kauppi
- 13/2009: Regional growth and finance in Europe: is there a quality effect of bank efficiency?

- Iftekhar Hasan, Michael Koetter and Michael Wedow
- 12/2009: Do markup dynamics reflect fundamentals or changes in conduct?

- John Juselius, Moshe Kim and Staffan Ringbom
- 11/2009: Evaluating the stresses from ECB monetary policy in the euro area

- Jim Lee and Patrick Crowley
- 10/2009: Credit crunch? An empirical test of cyclical credit policy

- Risto Herrala
- 9/2009: Euler consumption equation with non-separable preferences over consumption and leisure and collateral constraints

- Juha Kilponen
- 8/2009: Public infrastructures, public consumption and welfare in a new open economy macro model

- Giovanni Ganelli and Juha Tervala
- 7/2009: Political connections and the process of going public: evidence from China

- Bill B. Francis, Iftekhar Hasan and Xian Sun
- 6/2009: Financial interlinkages and risk of contagion in the Finnish interbank market

- Mervi Toivanen
- 5/2009: The 1990's financial crises in Nordic countries

- Seppo Honkapohja
- 4/2009: New small firms and dimensions of economic performance

- Sherrill Shaffer, Iftekhar Hasan and Mingming Zhou
- 3/2009: Effects of unobserved defaults on correlation between probability of default and loss given on mortgage loans

- Peter Palmroos
- 2/2009: The bank lending channel reconsidered

- Alistair Milne and Geoffrey Wood
- 1/2009: Corporate social responsibility and shareholder's value: an empirical analysis

- Leonardo Becchetti, Rocco Ciciretti and Iftekhar Hasan
- 30/2008: Shattered on the rock? British financial stability from 1866 to 2007

- Alistair Milne and Geoffrey Wood
- 29/2008: Central bank institutional structure and effective central banking: cross-country empirical evidence

- Iftekhar Hasan and Loretta Mester
- 28/2008: Population ageing and fiscal sustainability in Finland: a stochastic analysis

- Jukka Lassila and Tarmo Valkonen
- 27/2008: Bank competition and collateral: theory and evidence

- Christa Hainz, Laurent Weill and Christophe Godlewski
- 26/2008: The co-movements along the forward curve of natural gas futures: a structural view

- Fabrizio Spargoli and Paolo Zagaglia
- 25/2008: A continuous-time model of the term structure of interest rates with fiscal-monetary policy interactions

- Massimiliano Marzo, Silvia Romagnoli and Paolo Zagaglia
- 24/2008: Determinacy of interest rate rules with bond transaction services in a cashless economy

- Massimiliano Marzo and Paolo Zagaglia
- 23/2008: Money-market segmentation in the euro area: what has changed during the turmoil?

- Paolo Zagaglia
- 22/2008: Integrating European retail payment systems: some economics of SEPA

- Kari Kemppainen
- 21/2008: Government funds and demographic transition: alleviating ageing costs in a small open economy

- Helvi Kinnunen
- 20/2008: Estimating regime-switching Taylor rules with trend inflation

- Efrem Castelnuovo, Luciano Greco and Davide Raggi
- 19/2008: Adverse selection and financing of innovation: is there a need for R&D subsidies?

- Tuomas Takalo and Tanja Tanayama
- 18/2008: History of finance research and education in Finland: the first thirty years

- Mika Vaihekoski
- 17/2008: Macro-model-based stress testing of Basel II requirements

- Esa Jokivuolle, Kimmo Virolainen and Oskari Vähämaa
- 16/2008: Estimating open economy Phillips curves for the euro area with directly measured expectations

- Maritta Paloviita
- 15/2008: Investment-cash flow sensitivities, credit rationing and financing constraints

- Leonardo Becchetti, Annalisa Castelli and Iftekhar Hasan
- 14/2008: Does hedging tell the full story? Reconciling differences in US aggregate and industry-level exchange rate risk premia

- Bill B. Francis, Iftekhar Hasan and Delroy M. Hunter
- 13/2008: Why do growth rates differ? Evidence from cross-country data on private sector production

- Juha Kilponen and Matti Virén
- 12/2008: Bank runs, liquidity and credit risk

- Jukka Topi
- 11/2008: Efficiency and costs of payments: some new evidence from Finland

- Kari Takala and Matti Virén
- 10/2008: The signalling hypothesis revisited: evidence from foreign IPOs

- Bill B. Francis, Iftekhar Hasan, James R. Lothian and Xian Sun
- 9/2008: Using financial markets information to identify oil supply shocks in a restricted VAR

- Marko Melolinna
- 8/2008: On the importance of borrowing constraints for house price dynamics

- Essi Eerola and Niku Määttänen
- 7/2008: Evaluating innovation policy: a structural treatment effect model of R&D subsidies

- Tuomas Takalo, Tanja Tanayama and Otto Toivanen
- 6/2008: Cointegration implications of linear rational expectation models

- John Juselius
- 5/2008: Along but beyond mean-variance: Utility maximization in a semimartingale model

- Heli Huhtala