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Content
2016
- 6/2016 Relative peer quality and firm performance
by Francis, Bill & Hasan, Iftekhar & Mani, Sureshbabu & Ye, Pengfei
- 5/2016 CEO political preference and corporate tax sheltering
by Francis, Bill B. & Hasan, Iftekhar & Sun, Xian & Wu, Qiang
- 4/2016 The age-structure–inflation puzzle
by Juselius, Mikael & Takáts, Előd
- 3/2016 Leverage dynamics and the burden of debt
by Juselius, Mikael & Drehmann, Mathias
- 2/2016 Switching costs and financial stability
by Stenbacka, Rune & Takalo, Tuomas
- 1/2016 The interaction of monetary and macroprudential policies in economic stabilisation
by Silvo, Aino
2015
- 30/2015 Who benefits from public housing?
by Eerola, Essi & Saarimaa, Tuukka
- 29/2015 Are too-big-to-fail banks history in Europe? Evidence from overnight interbank loans
by Tölö, Eero & Jokivuolle, Esa & Virén, Matti
- 28/2015 Financing innovation
by Kerr, William R. & Nanda, Ramana
- 27/2015 Agglomeration and innovation
by Carlino, Gerald & Kerr, William R.
- 26/2015 Transition to clean technology
by Acemoglu, Daron & Akcigit, Ufuk & Hanley, Douglas & Kerr, William R.
- 25/2015 Networks and the macroeconomy: an empirical exploration
by Acemoglu, Daron & Akcigit, Ufuk & Kerr, William R.
- 24/2015 Rational exuberance booms and asymmetric business cycles
by Ambrocio, Gene
- 23/2015 Innovation and competition in Internet and mobile banking: an industrial organization perspective
by Mariotto, Carlotta & Verdier, Marianne
- 22/2015 Cash management and payment choices: a simulation model with international comparisons
by Arango, Carlos & Bouhdaoui, Yassine & Bounie, David & Eschelbach, Martina & Hernandez, Lola
- 21/2015 Social capital and debt contracting: evidence from bank loans and public bonds
by Hasan, Iftekhar & Hoi, Chun-Keung (Stan) & Wu, Qiang & Zhang, Hao
- 20/2015 Matching and credit frictions in the housing market
by Eerola, Essi & Määttänen, Niku
- 19/2015 Does the type of debt matter? Stock market perception in Europe
by Fungáčová, Zuzana & Godlewski, Christophe J. & Weill, Laurent
- 18/2015 Monetary policies to counter the zero interest rate: an overview of research
by Honkapohja, Seppo
- 17/2015 What type of finance matters for growth? Bayesian model averaging evidence
by Hasan, Iftekhar & Horvath, Roman & Mares, Jan
- 16/2015 Firms' risk endogenous to strategic management choices
by Delis, Manthos D. & Hasan, Iftekhar & Tsionas, Efthymios G.
- 15/2015 Regulations, institutions and income smoothing by managing technical reserves: international evidence from the insurance industry
by Gaganis, Chrysovalantis & Hasan, Iftekhar & Pasiouras, Fotios
- 14/2015 The effect of board directors from countries with different genetic diversity levels on corporate performance
by Delis, Manthos D. & Gaganis, Chrysovalantis & Hasan, Iftekhar & Pasiouras, Fotios
- 13/2015 Evidence for the existence of downward real earnings management
by Francis, Bill & Hasan, Iftekhar & Li, Lingxiang
- 12/2015 Euro area monetary and fiscal policy tracking design in the time-frequency domain
by Crowley, Patrick M. & Hudgins, David
- 11/2015 Are monetary unions more synchronous than non-monetary unions?
by Crowley, Patrick M. & Trombley, Christopher
- 10/2015 Why are bank runs sometimes partial?
by Kiema, Ilkka & Jokivuolle, Esa
- 9/2015 Comparing inflation and price level targeting: the role of forward guidance and transparency
by Honkapohja, Seppo & Mitra, Kaushik
- 8/2015 Indicators used in setting the countercyclical capital buffer
by Kalatie, Simo & Laakkonen, Helinä & Tölö, Eero
- 7/2015 Measuring financial stress – A country specific stress index for Finland
by Huotari, Jarkko
- 6/2015 Toward robust early-warning models: A horse race, ensembles and model uncertainty
by Holopainen, Markus & Sarlin, Peter
- 5/2015 Bonus caps, deferrals and bankers' risk-taking
by Jokivuolle, Esa & Keppo, Jussi & Yuan, Xuchuan
- 4/2015 Relevance of uncertainty on the volatility and trading volume in the US Treasury bond futures market
by Laakkonen, Helinä
- 3/2015 Which financial stocks did short sellers target in the subprime crisis?
by Hasan, Iftekhar & Massoud, Nadia & Saunders, Anthony & Song, Keke
- 2/2015 Shifts in euro area Beveridge curves and their determinants
by Bonthuis, Boele & Jarvis, Valerie & Vanhala, Juuso
- 1/2015 The net stable funding ratio requirement when money is endogenous
by Kauko, Karlo
2014
- 33/2014 The determinants of global bank credit-default-swap spreads
by Hasan, Iftekhar & Liu, Liuling & Zhang, Gaiyan
- 32/2014 Fiscal policy tracking design in the time frequency domain using wavelet analysis
by Crowley, Patrick M. & Hudgins, David
- 31/2014 Updating the euro area Phillips curve: the slope has increased
by Oinonen, Sami & Paloviita, Maritta
- 30/2014 Childhood experience of father's job loss and stock market participation
by Lehtoranta, Antti
- 29/2014 Analysis of aggregated inflation expectations based on the ECB SPF survey
by Oinonen, Sami & Paloviita, Maritta
- 28/2014 Crisis performance of European banks – does management ownership matter?
by Westman, Hanna
- 27/2014 Leverage constraints and real interest rates
by Isohätälä, Jukka & Kusmartsev, Feo & Milne, Alistair & Robertson, Donald
- 26/2014 The net worth trap: investment and output dynamics in the presence of financing constraints
by Isohätälä, Jukka & Milne, Alistair & Robertson, Donald
- 25/2014 The effects of ratings-contingent regulation on international bank lending behavior: Evidence from the Basel 2 accord
by Hasan, Iftekhar & Kim, Suk-Joong & Wu, Eliza
- 24/2014 Kiss me deadly: From Finnish great depression to great recession
by Gulan, Adam & Haavio, Markus & Kilponen, Juha
- 23/2014 Volatility transfers between cycles: A theory of why the "great moderation" was more mirage than moderation
by Crowley, Patrick & Hughes Hallett, Andrew
- 22/2014 Bank ownership structure, SME lending and local credit markets
by Hasan, Iftekhar & Jackowicz, Krzysztof & Kowalewski, Oskar & Kozłowski, Łukasz
- 21/2014 Financial shocks, financial stability, and optimal Taylor rules
by Verona, Fabio & Martins, Manuel M. F. & Drumond, Inês
- 20/2014 Promoting efficient retail payments in Europe
by Hasan, Iftekhar & Martikainen, Emmi & Takalo, Tuomas
- 19/2014 Abnormal real operations, real earnings management, and subsequent crashes in stock prices
by Francis, Bill & Hasan, Iftekhar & Li, Lingxiang
- 18/2014 The risk of financial intermediaries
by Delis, Manthos D. & Hasan, Iftekhar & Tsionas, Efthymios G.
- 17/2014 Can firms learn by observing? Evidence from cross-border M&As
by Francis, Bill & Hasan, Iftekhar & Sun, Xian & Waisman, Maya
- 16/2014 Are female CFOs less tax aggressive? Evidence from tax aggressiveness
by Francis, Bill & Hasan, Iftekhar & Wu, Qiang & Yan, Meng
- 15/2014 Professors in the boardroom and their impact on corporate governance and firm performance
by Francis, Bill & Hasan, Iftekhar & Wu, Qiang
- 14/2014 Leading indicators of systemic banking crises: Finland in a panel of EU countries
by Lainà, Patrizio & Nyholm, Juho & Sarlin, Peter
- 13/2014 Optimal fiscal policy of a monetary union member
by Orjasniemi, Seppo
- 12/2014 How well does foreign direct investment measure real investment by foreign-owned companies? Firm-level analysis
by Leino, Topias & Ali-Yrkkö, Jyrki
- 11/2014 Ending over-lending: Assessing systemic risk with debt to cash flow
by Sarlin, Peter & Ramsay, Bruce A.
- 10/2014 Descriptive analysis of the Finnish stock market: Part II
by Nyberg, Peter & Vaihekoski, Mika
- 9/2014 Do private signals of a bank s creditworthiness predict the bank s CDS price? Evidence from the Eurosystem's overnight loan rates
by Tölö, Eero & Jokivuolle, Esa & Virén, Matti
- 8/2014 Analysis of forecast errors in micro-level survey data
by Paloviita, Maritta & Virén, Matti
- 7/2014 Information acquisition and learning from prices over the business cycle
by Mäkinen, Taneli & Ohl, Björn
- 6/2014 What drives loan losses in Europe?
by Jokivuolle, Esa & Pesola, Jarmo & Virén, Matti
- 5/2014 Small banks and local economic development
by Hasan, Iftekhar & Molyneux, Phil & Xie, Ru & Hakenes, Hendrik
- 4/2014 Targeting nominal GDP or prices: Guidance and expectation dynamics
by Mitra, Kaushik & Honkapohja, Seppo
- 3/2014 Beauty is in the eye of the beholder: The effect of corporate tax avoidance on the cost of bank loans
by Hasan, Iftekhar & Wu, Qiang & Zhang, Hao & Hoi, Chun-Keung (Stan)
- 2/2014 Bankers' compensation: Sprint swimming in short bonus pools?
by Jokivuolle, Esa & Keppo, Jussi
- 1/2014 Gender differences in financial reporting decision-making: Evidence from accounting conservatism
by Francis, Bill & Hasan, Iftekhar & Wu, Qiang & Park, Jong Chool
2013
- 35/2013 Financial and economic downturns in OECD countries
by Haavio, Markus & Mendicino, Caterina & Punzi, Maria Teresa
- 34/2013 Assessing the exchange rate exposure of US multinationals
by Crowley, Patrick M. & Habibdoust, Amir
- 33/2013 Is Europe growing together or growing apart?
by Crowley, Patrick M. & Garcia, Enrique & Chee-Heong, Quah
- 32/2013 Welfare and bond pricing implications of fiscal stabilization policies
by Christoffel, Kai & Jaccard, Ivan & Kilponen, Juha
- 31/2013 Income inequality and social preferences for redistribution and compensation differentials
by Kerr, William R.
- 30/2013 Labor regulations and European venture capital
by Bozkaya, Ant & Kerr, William R.
- 29/2013 Managerial style and bank loan contracting
by Francis, Bill B. & Hasan, Iftekhar & Yun, Zhu
- 28/2013 Growth through heterogeneous innovations
by Akcigit, Ufuk & Kerr, William R.
- 27/2013 The impact of political uncertainty on institutional ownership
by Francis, Bill B. & Hasan, Iftekhar & Yun, Zhu
- 26/2013 Testing for a unit root in noncausal autoregressive models
by Saikkonen, Pentti & Sandberg, Rickard
- 25/2013 99.9% - really?
by Kiema, Ilkka & Jokivuolle, Esa
- 24/2013 On optimal emission control: Taxes, substitution and business cycles
by Lintunen, Jussi & Vilmi, Lauri
- 23/2013 What types of bondholders impede corporate innovative activities?
by Hasan, Iftekhar & O Brien, Jonathan & Ye, Pengfei
- 22/2013 Innovation, reallocation and growth
by Acemoglu, Daron & Akcigit, Ufuk & Bloom, Nicholas & Kerr, William
- 21/2013 Central bank liquidity auction mechanism design and the interbank market
by Ollikka, Kimmo & Tukiainen, Janne
- 20/2013 Midas, transmuting all, into paper: The Bank of England and the Banque de France during the Revolutionary and Napoleonic Wars
by Chadha, Jagjit S. & Newby, Elisa
- 19/2013 Contagion in the interbank network: An epidemiological approach
by Toivanen, Mervi
- 18/2013 Investment dynamics with information costs
by Verona, Fabio
- 17/2013 Closed form solution of correlation in doubly truncated or censored sample of bivariate log-normal distribution
by Vilmunen, Jouko & Palmroos, Peter
- 16/2013 Lumpy investment in sticky information general equilibrium
by Verona, Fabio
- 15/2013 The government's role in government-owned banks
by Shen, Chung-Hua & Hasan, Iftekhar & Lin, Chih-Yung
- 14/2013 Efficiency and stock returns: evidence from the insurance industry
by Gaganis, Chrysovalantis & Hasan, Iftekhar & Pasiouras, Fotios
- 13/2013 The cost of sin: The effect of social norms on audit pricing
by Leventis, Stergios & Hasan, Iftekhar & Dedoulis, Emmanouil
- 12/2013 The euro crisis: a view from the North
by Honkapohja, Seppo
- 11/2013 Sensitivity of fiscal-policy effects to policy coordination and business cycle conditions
by Virén, Matti
- 10/2013 In search of concepts: The effects of speculative demand on returns and volume
by Gwilym, Owain Ap & Wang, Qvigwei & Hasan, Iftekhar & Xie, Ru
- 9/2013 Estimating intertemporal elasticity of substitution in a sticky price model
by Kilponen, Juha & Vilmunen, Jouko & Vähämaa, Oskari
- 8/2013 The benefits of conservative accounting to shareholders: Evidence from the financial crisis
by Francis, Bill & Hasan, Iftekhar & Wu, Qiang
- 7/2013 Should competition policy in banking be amended during crises? Lessons from the EU
by Hasan, Iftekhar & Marinc, Matej
- 6/2013 How have inflation dynamics changed over time? Evidence from the euro area and USA
by Oinonen, Sami & Paloviita, Maritta & Vilmi, Lauri
- 5/2013 Sticky information models in Dynare
by Verona, Fabio & Wolters, Maik H.
- 4/2013 (Un)anticipated monetary policy in a DSGE model with a shadow banking system
by Verona, Fabio & Martins, Manuel M. F. & Drumond, Inês
- 3/2013 Unconventional government debt purchases as a supplement to conventional monetary policy
by Ellison, Martin & Tischbirek, Andreas
- 2/2013 Market failures and the additionality effects of public support to private R&D: Theory and empirical implications
by Takalo, Tuomas & Tanayama, Tanja & Toivanen, Otto
- 1/2013 Rationales and instruments for public innovation policies
by Takalo, Tuomas
2012
- 37/2012 Inflation and output growth uncertainty in individual survey expectations
by Paloviita, Maritta & Virén, Matti
- 36/2012 The 1980s financial liberalization in the Nordic countries
by Honkapohja, Seppo
- 35/2012 Real time uncertainty in fiscal planning and debt accumulation in the euro area
by Paloviita, Maritta
- 34/2012 Fiscal planning and implementation: euro area analysis based on real time data
by Paloviita, Maritta
- 33/2012 Forecasting with a noncausal VAR model
by Nyberg, Henri & Saikkonen, Pentti
- 32/2012 Competition before sunset: The case of the Finnish ATM market
by Kopsakangas-Savolainen, Maria & Takalo, Tuomas
- 31/2012 Home preference at selecting financial advisors in cross-border M&As
by Francis, Bill B. & Hasan, Iftekhar & Sun, Xian
- 30/2012 Careful price level targeting
by Waters, George A.
- 29/2012 How can growth be accelerated in Europe?
by Virén, Matti
- 28/2012 Does relationship matter? The choice of financial advisors
by Francis, Bill B. & Hasan, Iftekhar & Sun, Xian
- 27/2012 Liquidity trap and expectation dynamics: Fiscal stimulus or fiscal austerity?
by Benhabib, Jess & Evans, George W. & Honkapohja, Seppo
- 26/2012 More than connectedness: Heterogeneity of CEO social network and firm value
by Fang, Yiwei & Francis, Bill & Hasan, Iftekhar
- 25/2012 Welfare cost of business cycles in economies with individual consumption risk
by Ellison, Martin & Sargent, Thomas J.
- 24/2012 Valuation of innovation: the case of iPhone
by Korkeamäki, Timo & Takalo, Tuomas
- 23/2012 Interest rates and business cycles in emerging economies: the role of financial frictions
by Fernández, Andrés & Gulan, Adam
- 22/2012 Sovereign risk, European crisis resolution policies and bond yields
by Kilponen, Juha & Laakkonen, Helinä & Vilmunen, Jouko
- 21/2012 Household optimism and borrowing
by Hyytinen, Ari & Putkuri, Hanna
- 20/2012 Entrepreneurial optimism and survival
by Hyytinen, Ari & Lahtonen, Jukka & Pajarinen, Mika
- 19/2012 Retail payments and economic growth
by Hasan, Iftekhar & De Renzis, Tania & Schmiedel, Heiko
- 18/2012 Bank regulations and income inequality: Empirical evidence
by Delis, Manthos D. & Hasan, Iftekhar & Kazakis, Pantelis
- 17/2012 Urban agglomeration and CEO compensation
by Francis, Bill & Hasan, Iftekhar & John, Kose & Waisman, Maya
- 16/2012 What determines bank stock price synchronicity? Global evidence
by Francis, Bill & Hasan, Iftekhar & Song, Liang & Yeung, Bernard
- 15/2012 Predicting rating changes for banks: How accurate are accounting and stock market indicators?
by Distinguin, Isabelle & Hasan, Iftekhar & Tarazi, Amine
- 14/2012 Corporate boards and bank loan contracting
by Francis, Bill & Hasan, Iftekhar & Wu, Qiang & Koetter, Michael
- 13/2012 Asymmetric benchmarking in bank credit rating
by Shen, Chung-Hua & Huang, Yu-Li & Hasan, Iftekhar
- 12/2012 Are firm- and country-specific governance substitutes? Evidence from financial contracts in emerging markets
by Francis, Bill & Hasan, Iftekhar & Song, Liang
- 11/2012 Do corporate boards affect firm performance? New evidence from the financial crisis
by Francis, Bill & Hasan, Iftekhar & Wu, Qiang
- 10/2012 Learning by disinflating
by Barnett, Alina & Ellison, Martin
- 9/2012 Optimal bank transparency
by Moreno, Diego & Takalo, Tuomas
- 8/2012 Information acquisition during a Dutch auction
by Miettinen, Paavo
- 7/2012 Signaling asset price bubbles with time-series methods
by Taipalus, Katja
- 6/2012 Why is price discovery in credit default swap markets news-specific?
by Marsh, Ian W. & Wagner, Wolf
- 5/2012 Fiscal policy and learning
by Mitra, Kaushik & Evans, George W. & Honkapohja, Seppo
- 4/2012 Why is equity capital expensive for opaque banks?
by Kauko, Karlo
- 3/2012 Quantity rationing of credit
by Waters, George A.
- 2/2012 Expectations-driven cycles in the housing market
by Lambertini, Luisa & Mendicino, Caterina & Punzi, Maria Teresa
- 1/2012 Housing market and current account imbalances in the international economy
by Punzi, Maria Teresa
2011
- 24/2011 Owner-occupied housing as an investment, regional house price cycles and residential sorting
by Haavio, Markus & Kauppi, Heikki
- 23/2011 Combining liquidity usage and interest rates on overnight loans: an oversight indicator
by Laine, Tatu & Nummelin, Tuomas & Snellman, Heli
- 22/2011 Policy change and learning in the RBC model
by Kaushik, Mitra & Evans, George W. & Honkapohja, Seppo
- 21/2011 Real time analysis of euro area fiscal policies: adjustment to the crisis
by Paloviita, Maritta & Kinnunen, Helvi
- 20/2011 Subordinated debt, market discipline, and bank risk
by Chen, Yehning & Hasan, Iftekhar
- 19/2011 Leverage and growth: effect of stock options
by Francis, Bill & Hasan, Iftekhar & Sharma, Zenu
- 18/2011 The impact of CFO gender on bank loan contracting
by Francis, Bill & Hasan, Iftekhar & Wu, Qiang
- 17/2011 Incentives and innovation: evidence from CEO compensation contracts
by Francis, Bill & Hasan, Iftekhar & Sharma, Zenu
- 16/2011 The role of labour markets in fiscal policy transmission
by Obstbaum, Meri
- 15/2011 Limited asset market participation: does it really matter for monetary policy?
by Ascari, Guido & Colciago, Andrea & Rossi, Lorenza
- 14/2011 Descriptive analysis of Finnish equity, bond and money market returns
by Nyberg, Peter & Vaihekoski, Mika
- 13/2011 The great moderation under the microscope: decomposition of macroeconomic cycles in US and UK aggregate demand
by Crowley, Patrick M. & Hallett, Andrew Hughes
- 12/2011 Endogenous market structures and labour market dynamics
by Colciago, Andrea & Rossi, Lorenza
- 11/2011 Does housing allowance feed through into rental prices?
by Virén, Matti
- 10/2011 Leverage ratio requirement and credit allocation and bank stability
by Kiema, Ilkka & Jokivuolle, Esa
- 9/2011 Growth, expectations and tariffs
by Honkapohja, Seppo & Turunen-Red, Arja H. & Woodland, Alan D.
- 8/2011 Learning as a rational foundation for macroeconomics and finance
by Evans, George & Honkapohja, Seppo
- 7/2011 Market reforms, legal changes and bank risk-taking: evidence from transition economies
by Fang, Yiwei & Hasan, Iftekhar & Marton, Katherin
- 6/2011 The euro and corporate financing
by Bris, Arturo & Koskinen, Yrjö & Nilsson, Mattias
- 5/2011 Bank efficiency in transition economies: recent evidence from South-Eastern Europe
by Fang, Yiwei & Hasan, Iftekhar & Marton, Katherin
- 4/2011 Product market relationships and cost of bank loans: evidence from strategic alliances
by Fang, Yiwei & Francis, Bill & Hasan, Iftekhar & Wang, Haizhi
- 3/2011 Debit card interchange fees generally lead to cash-promoting cross-subsidisation
by Leinonen, Harry
- 2/2011 What explains risk premia in crude oil futures?
by Melolinna, Marko
- 1/2011 Financial factors in the boom-bust episode in Finland in the late 1980s and early 1990s
by Freystätter, Hanna
2010
- 22/2010 Moral hazard in the credit market when the collateral value is stochastic
by Niinimäki, Juha-Pekka
- 21/2010 Effect of finance on growth through more efficient utilization of technological innovations
by Ikonen, Pasi
- 20/2010 Central bank liquidity during the financial market and economic crisis: observations, thoughts and questions
by Pikkarainen, Pentti
- 19/2010 Realized volatility and overnight returns
by Ahoniemi, Katja & Lanne, Markku
- 18/2010 The effect of openness in a small open monetary union
by Orjasniemi, Seppo
- 17/2010 Credit allocation, capital requirements and output
by Jokivuolle, Esa & Kiema, Ilkka & Vesala, Timo
- 16/2010 A new approach to analyzing convergence and synchronicity in growth and business cycles: Cross recurrence plots and quantification analysis
by Crowley, Patrick M. & Schultz, Aaron
- 15/2010 Credit constraints and durable consumption: A new empirical approach
by Herrala, Risto
- 14/2010 The feasibility of through-the-cycle ratings
by Kauko, Karlo
- 13/2010 Does Ricardian Equivalence hold when expectations are not rational?
by Evans, George W. & Honkapohja, Seppo & Kaushik, Mitra
- 12/2010 New evidence on implicit contracts from linked employer-employee data
by Kilponen, Juha & Santavirta, Torsten
- 11/2010 Stock market conditions and monetary policy in an DSGE model for the US
by Castelnuovo, Efrem & Nisticò, Salvatore
- 10/2010 Housing loan rate margins in Finland
by Putkuri, Hanna
- 9/2010 Risk-based classification of financial instruments in the Finnish statutory pension scheme TyEL
by Tanskanen, Antti J. & Niininen, Petri & Vatanen, Kari
- 8/2010 Simultaneous monetary policy announcements and international stock markets response: an intraday analysis
by Hussain, Syed Mujahid
- 7/2010 Information acquisition during a Dutch auction
by Miettinen, Paavo
- 6/2010 Long cycles in growth: explorations using new frequency domain techniques with US data
by Crowley, Patrick M.
- 5/2010 Financial market disturbances as sources of business cycle fluctuations in Finland
by Freystätter, Hanna
- 4/2010 Cross-border bank M&As and risk: evidence from the bond market
by Choi, Sungho & Francis, Bill B. & Hasan, Iftekhar
- 3/2010 Return from retail banking and payments
by Hasan, Iftekhar & Schmiedel, Heiko & Song, Liang
- 2/2010 Growth strategies and value creation: what works best for stock exchanges?
by Hasan, Iftekhar & Schmiedel, Heiko & Song, Liang
- 1/2010 Law and stock markets: evidence from an emerging market
by Korkeamäki, Timo & Rainio, Elina & Takalo, Tuomas
2009
- 36/2009 Bank relationships and firms' financial performance: the Italian experience
by Castelli, Annalisa & Dwyer, Gerald P. & Hasan, Iftekhar
- 35/2009 Financial crises and bank failures: a review of prediction methods
by Demyanyk, Yuliya & Hasan, Iftekhar
- 34/2009 The determinants of option-adjusted delta credit spreads: a comparative analysis of the United States, the United Kingdom and the euro area
by Becchetti, Leonardo & Carpentieri, Andrea & Hasan, Iftekhar
- 33/2009 An analysis of the embedded frequency content of macroeconomic indicators and their counterparts using the Hilbert-Huang transform
by Crowley, Patrick M. & Schildt, Tony
- 32/2009 How do you make a time series sing like a choir? Using the Hilbert-Huang transform to extract embedded frequencies from economic or financial time series
by Crowley, Patrick M.
- 31/2009 The quality of monetary policy and inflation performance: globalization and its aftermath
by Bohl, Martin & Mayes, David G. & Siklos, Pierre L.
- 30/2009 Monetary policy, inflation expectations and the price puzzle
by Castelnuovo, Efrem & Surico, Paolo
- 29/2009 Bank safety under Basel II capital requirements
by Vauhkonen, Jukka
- 28/2009 Export pricing and the cross-country correlation of stock prices
by Tervala, Juha
- 27/2009 Inferring market power from retail deposit interest rates in the euro area
by Vajanne, Laura
- 26/2009 Transmission of macro shocks to loan losses in a deep crisis: the case of Finland
by Jokivuolle, Esa & Virén, Matti & Vähämaa, Oskari