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Content
2009
- 25/2009 Risk-adjusted measures of value creation in financial institutions
by Milne, Alistair & Onorato, Mario
- 24/2009 Expectations, deflation traps and macroeconomic policy
by Evans, George W. & Honkapohja, Seppo
- 23/2009 Credit allocation, capital requirements and procyclicality
by Jokivuolle, Esa & Kiema, Ilkka & Vesala, Timo
- 22/2009 Does State Street lead to Europe? The case of financial exchange innovations
by Komulainen, Mari & Takalo, Tuomas
- 21/2009 A new value-weighted total return index for the Finnish stock market
by Nyberg, Peter & Vaihekoski, Mika
- 20/2009 Testing the structural interpretation of the price puzzle with a cost channel model
by Castelnuovo, Efrem
- 19/2009 Screening in the credit market when the collateral value is stochastic
by Niinimäki, Juha-Pekka
- 18/2009 Noncausal vector autoregression
by Lanne, Markku & Saikkonen, Pentti
- 17/2009 Early intervention and prompt corrective action in Europe
by Mayes, David G.
- 16/2009 Blanket guarantee and restructuring decisions for multinational banks in a bargaining model
by Niinimäki, Juha-Pekka & Mälkönen, Ville
- 15/2009 Productivity and job flows: heterogeneity of new hires and continuing jobs in the business cycle
by Kilponen, Juha & Vanhala, Juuso
- 14/2009 House price fluctuations and residential sorting
by Haavio, Markus & Kauppi, Heikki
- 13/2009 Regional growth and finance in Europe: is there a quality effect of bank efficiency?
by Hasan, Iftekhar & Koetter, Michael & Wedow, Michael
- 12/2009 Do markup dynamics reflect fundamentals or changes in conduct?
by Juselius, Mikael & Kim, Moshe & Ringbom, Staffan
- 11/2009 Evaluating the stresses from ECB monetary policy in the euro area
by Lee, Jim & Crowley, Patrick M.
- 10/2009 Credit crunch? An empirical test of cyclical credit policy
by Herrala, Risto
- 9/2009 Euler consumption equation with non-separable preferences over consumption and leisure and collateral constraints
by Kilponen, Juha
- 8/2009 Public infrastructures, public consumption and welfare in a new open economy macro model
by Ganelli, Giovanni & Tervala, Juha
- 7/2009 Political connections and the process of going public: evidence from China
by Francis, Bill B. & Hasan, Iftekhar & Sun, Xian
- 6/2009 Financial interlinkages and risk of contagion in the Finnish interbank market
by Toivanen, Mervi
- 5/2009 The 1990's financial crises in Nordic countries
by Honkapohja, Seppo
- 4/2009 New small firms and dimensions of economic performance
by Shaffer, Sherrill & Hasan, Iftekhar & Zhou, Mingming
- 3/2009 Effects of unobserved defaults on correlation between probability of default and loss given on mortgage loans
by Palmroos, Peter
- 2/2009 The bank lending channel reconsidered
by Milne, Alistair & Wood, Geoffrey
- 1/2009 Corporate social responsibility and shareholder's value: an empirical analysis
by Becchetti, Leonardo & Ciciretti, Rocco & Hasan, Iftekhar
2008
- 30/2008 Shattered on the rock? British financial stability from 1866 to 2007
by Milne, Alistair & Wood, Geoffrey
- 29/2008 Central bank institutional structure and effective central banking: cross-country empirical evidence
by Hasan, Iftekhar & Mester, Loretta J.
- 28/2008 Population ageing and fiscal sustainability in Finland: a stochastic analysis
by Lassila, Jukka & Valkonen, Timo
- 27/2008 Bank competition and collateral: theory and evidence
by Hainz, Christa & Weill, Laurent & Godlewski, Christophe J.
- 26/2008 The co-movements along the forward curve of natural gas futures: a structural view
by Spargoli, Fabrizio & Zagaglia, Paolo
- 25/2008 A continuous-time model of the term structure of interest rates with fiscal-monetary policy interactions
by Marzo, Massimiliano & Romagnoli, Silvia & Zagaglia, Paolo
- 24/2008 Determinacy of interest rate rules with bond transaction services in a cashless economy
by Marzo, Massimiliano & Zagaglia, Paolo
- 23/2008 Money-market segmentation in the euro area: what has changed during the turmoil?
by Zagaglia, Paolo
- 22/2008 Integrating European retail payment systems: some economics of SEPA
by Kemppainen, Kari
- 21/2008 Government funds and demographic transition: alleviating ageing costs in a small open economy
by Kinnunen, Helvi
- 20/2008 Estimating regime-switching Taylor rules with trend inflation
by Castelnuovo, Efrem & Greco, Luciano & Raggi, Davide
- 19/2008 Adverse selection and financing of innovation: is there a need for R&D subsidies?
by Takalo, Tuomas & Tanayama, Tanja
- 18/2008 History of finance research and education in Finland: the first thirty years
by Vaihekoski, Mika
- 17/2008 Macro-model-based stress testing of Basel II requirements
by Jokivuolle, Esa & Virolainen, Kimmo & Vähämaa, Oskari
- 16/2008 Estimating open economy Phillips curves for the euro area with directly measured expectations
by Paloviita, Maritta
- 15/2008 Investment-cash flow sensitivities, credit rationing and financing constraints
by Becchetti, Leonardo & Castelli, Annalisa & Hasan, Iftekhar
- 14/2008 Does hedging tell the full story? Reconciling differences in US aggregate and industry-level exchange rate risk premia
by Francis, Bill B. & Hasan, Iftekhar & Hunter, Delroy M.
- 13/2008 Why do growth rates differ? Evidence from cross-country data on private sector production
by Kilponen, Juha & Virén, Matti
- 12/2008 Bank runs, liquidity and credit risk
by Topi, Jukka
- 11/2008 Efficiency and costs of payments: some new evidence from Finland
by Takala, Kari & Virén, Matti
- 10/2008 The signalling hypothesis revisited: evidence from foreign IPOs
by Francis, Bill B. & Hasan, Iftekhar & Lothian, James R. & Sun, Xian
- 9/2008 Using financial markets information to identify oil supply shocks in a restricted VAR
by Melolinna, Marko
- 8/2008 On the importance of borrowing constraints for house price dynamics
by Eerola, Essi & Määttänen, Niku
- 7/2008 Evaluating innovation policy: a structural treatment effect model of R&D subsidies
by Takalo, Tuomas & Tanayama, Tanja & Toivanen, Otto
- 6/2008 Cointegration implications of linear rational expectation models
by Juselius, Mikael
- 5/2008 Along but beyond mean-variance: Utility maximization in a semimartingale model
by Huhtala, Heli
- 4/2008 Market power and merger simulation in retail banking
by Molnár, József
- 3/2008 One money, several cycles? Evaluation of European business cycles using model-based cluster analysis
by Crowley, Patrick M.
- 2/2008 Consumer awareness and the use of payment media: evidence from young Finnish consumers
by Hyytinen, Ari & Takalo, Tuomas
- 1/2008 Regulatory choices in global financial markets: restoring the role of aggregate utility in the shaping of market supervision
by Granlund, Peik
2007
- 33/2007 The lending channel under optimal choice of monetary policy
by Kilponen, Juha & Milne, Alistair
- 32/2007 Expectations, learning and monetary policy: an overview of recent research
by Evans, George W. & Honkapohja, Seppo
- 31/2007 Robust learning stability with operational monetary policy rules
by Evans, George W. & Honkapohja, Seppo
- 30/2007 What determines commercial banks' demand for reserves in the interbank market?
by Kempa, Michal
- 29/2007 The international transmission of monetary policy in a dollar pricing model
by Tervala, Juha
- 28/2007 Some unpleasant fiscal arithmetic: the role of monetary and fiscal policy in public debt dynamics since the 1970s
by Hasko, Harri
- 27/2007 Integration in euro area retail banking markets: convergence of credit interest rates
by Vajanne, Laura
- 26/2007 GDP at risk in a DSGE model: an application to banking sector stress testing
by Jokivuolle, Esa & Kilponen, Juha & Kuusi, Tero
- 25/2007 A case for interest rate smoothing
by Bask, Mikael
- 24/2007 Optimal monetary policy in a hybrid New Keynesian model with a cost channel
by Bask, Mikael
- 23/2007 Exchange rate volatility, macro announcements and the choice of intraday sasonality filtering method
by Laakkonen, Helinä
- 22/2007 Instrument rules in monetary policy under heterogeneity in currency trade
by Bask, Mikael
- 21/2007 Optimal monetary policy under heterogeneity in currency trade
by Bask, Mikael
- 20/2007 Measuring potential market risk
by Bask, Mikael
- 19/2007 Long swings and chaos in the exchange rate in a DSGE model with a Taylor rule
by Bask, Mikael
- 18/2007 Monetary policy, expected inflation and inflation risk premia
by Ravenna, Federico & Seppälä, Juha
- 17/2007 Pre-emptive horizontal mergers: theory and evidence
by Molnár, József
- 16/2007 Bank ownership and efficiency in China: what lies ahead in the world's largest nation?
by Berger, Allen N. & Hasan, Iftekhar & Zhou, Mingming
- 15/2007 Financial fragility, macroeconomic shocks and banks' loan losses: evidence from Europe
by Pesola, Jarmo
- 14/2007 Estimating a small DSGE model under rational and measured expectations: some comparisons
by Paloviita, Maritta
- 13/2007 Portfolio effects and efficiency of lending under Basel II
by Jokivuolle, Esa & Vesala, Timo
- 12/2007 Integration of financial supervision
by Holopainen, Helena
- 11/2007 Managers and efficiency in banking
by Kauko, Karlo
- 10/2007 When do R&D subsidies boost innovation? Revisiting the inverted U-shape
by Kilponen, Juha & Santavirta, Torsten
- 9/2007 Adjustment of the US current account deficit
by Kortelainen, Mika
- 8/2007 Discretion and the transmission lags of monetary policy
by Kilponen, Juha & Leitemo, Kai
- 7/2007 Multiple safety net regulators and agency problems in the EU: is Prompt Corrective Action a partial solution
by Mayes, David G. & Nieto, María J. & Wall, Larry
- 6/2007 Robust Taylor rules in an open economy with heterogeneous expectations and least squares learnig
by Bask, Mikael & Selander, Carina
- 5/2007 Household loan loss risk in Finland: estimations and simulations with micro data
by Herrala, Risto & Kauko, Karlo
- 4/2007 Bank behaviour with access to credit risk transfer markets
by Goderis, Benedikt & Marsh, Ian W. & Castello, Judit Vall & Wagner, Wolf
- 3/2007 Why is Europe lagging behind?
by Pyyhtiä, Ilmo
- 2/2007 A note on the national contributions to the euro area M3
by Mehrotra, Aaron
- 1/2007 Phoenix rising: legal reforms and changes in valuations in Finland during the economic crisis
by Korkeamäki, Timo & Koskinen, Yrjö & Takalo, Tuomas
2006
- 33/2006 Miten suomalaiset kuluttajat odottavat maksutapojen kehittyvän ja muuttuvan: "Suomalaiset maksutavat 2010"-tutkimushankkeeseen liittyvä kyselytutkimus
by Dahlberg, Tomi & Öörni, Anssi
- 32/2006 Finnish consumers' expectations on developments and changes in payment habits: survey in connection with the research project "Finnish payment habits 2010"
by Dahlberg, Tomi & Öörni, Anssi
- 31/2006 The effect of lenders' credit risk transfer activities on borrowing firms' equity returns
by Marsh, Ian W.
- 30/2006 The importance of attractive prices in pricing dynamics
by Aalto-Setälä, Ville & Schindler, Robert M.
- 29/2006 A global house price pubble? Evaluation based on a new rent-price approach
by Taipalus, Katja
- 28/2006 Population ageing in a small open economy: some policy experiments with a tractable general equilibrium model
by Kilponen, Juha & Kinnunen, Helvi & Ripatti, Antti
- 27/2006 Rating targeting and the confidence levels implicit in bank capital
by Jokivuolle, Esa & Peura, Samu
- 26/2006 The adverse selection problem in imperfectly competitive credit markets
by Mälkönen, Ville & Vesala, Timo
- 25/2006 Monetary policy and rejections of the expectations hypothesis
by Ravenna, Federico & Seppälä, Juha
- 24/2006 Financial market integration and the value of global diversification: evidence for US acquirers in cross-border mergers and acquisitions
by Francis, Bill B. & Hasan, Iftekhar & Sun, Xian
- 23/2006 The use of loan loss provisions for capital management, earnings management and signalling by Australian banks
by Anandarajan, Asokan & Hasan, Iftekhar & McCarthy, Cornelia
- 22/2006 Forecasting market crashes: further international evidence
by Jokipii, Terhi
- 21/2006 ATM networks and cash usage
by Snellman, Heli & Virén, Matti
- 20/2006 Why the marginal MRO rate exceeds the ECB policy rate?
by Välimäki, Tuomas
- 19/2006 Why do bank runs look like panic? A new explanation
by Chen, Yehning & Hasan, Iftekhar
- 18/2006 How hard is the euro area core? An evaluation of growth cycles using wavelet analysis
by Crowley, Patrick M. & Maraun, Douglas & Mayes, David
- 17/2006 The cyclical behaviour of European bank capital buffers
by Jokipii, Terhi & Milne, Alistair
- 16/2006 Osakeyhtiölain vaikutukset sijoittajan suojaan ja rahoitusmarkkinoiden kehitykseen
by Rainio, Elina
- 15/2006 Contagion and interdependence: measuring CEE banking sector co-movements
by Jokipii, Terhi & Lucey, Brian
- 14/2006 Open market operations: beyond the new consensus
by Toporowski, Jan
- 13/2006 Money market volatility: a simulation study
by Kempa, Michal
- 12/2006 Labour taxation and shock propagation in a New Keynesian model with search frictions
by Vanhala, Juuso
- 11/2006 The effect of a transaction tax on exchange rate volatility
by Lanne, Markku & Vesala, Timo
- 10/2006 Fundamentals and technical trading: behaviour of exchange rates in the CEECs
by Bask, Mikael & Fidrmuc, Jarko
- 9/2006 The stability of electricity prices: estimation and inference of the Lyapunov exponents
by Bask, Mikael & Liu, Tung & Widerberg, Anna
- 8/2006 Exchange rate volatility without the contrivance of fundamentals and the failure of PPP
by Bask, Mikael
- 7/2006 Adaptive learning in an expectational difference equation with several lags: selecting among learnable REE
by Bask, Mikael
- 6/2006 Announcement effects on exchange rate movements: continuity as a selection criterion among the REE
by Bask, Mikael
- 5/2006 Labour and product market competition in a small open economy – Simulation results using a DGE model of the Finnish economy
by Kilponen, Juha & Ripatti, Antti
- 4/2006 Robustness in monetary policymaking: a case for the Friedman rule
by Kilponen, Juha & Leitemo, Kai
- 3/2006 Pricing risky bank loans in the new Basel II environment
by Hasan, Iftekhar & Zazzara, Cristiano
- 2/2006 Policy words and policy deeds: the ECB and the euro
by Siklos, Pierre & Bohl, Martin
- 1/2006 The role of comparing in financial markets with hidden information
by Niinimäki, Juha-Pekka & Takalo, Tuomas & Kultti, Klaus
2005
- 27/2005 A wavelet analysis of scaling laws and long-memory in stock market volatility
by Vuorenmaa, Tommi A.
- 26/2005 The effects of aging population on the sustainability of fiscal policy
by Puhakka, Mikko
- 25/2005 Inflation expectations and regime shifts in the euro area
by Virén, Matti
- 24/2005 The transparency of the banking industry and the efficiency of information-based bank runs
by Chen, Yehning & Hasan, Iftekhar
- 23/2005 Standard setting and competition in securities settlement
by Milne, Alistair
- 22/2005 Comparing alternative Phillips curve specifications: European results with survey-based expectations
by Paloviita, Maritta
- 21/2005 Forecasting with a forward-looking DGE model: combining long-run views of financial markes with macro forecasting
by Männistö, Hanna-Leena
- 20/2005 Robust monetary policy in a small open economy
by Leitemo, Kai & Söderström, Ulf
- 19/2005 Assessing effects of price regulation in retail payment systems
by Kemppainen, Kari
- 18/2005 International economic spillovers and the liquidity trap
by Tarkka, Juha & Kortelainen, Mika
- 17/2005 Identifying the interdependence between US monetary policy and the stock market
by Bjørnland, Hilde C. & Leitemo, Kai
- 16/2005 What's in it for us? Network effects and bank payment innovation
by Milne, Alistair
- 15/2005 Fiscal policy in the 1920s and 1930s: How much different it is from the post war period's policies?
by Virén, Matti
- 14/2005 The demand for money market mutual funds
by Kauko, Karlo
- 13/2005 Banking fragility and distress: an econometric study of macroeconomic determinants
by Pesola, Jarmo
- 12/2005 Decomposing the co-movement of the business cycle: a time-frequency analysis of growth cycles in the euro area
by Crowley, Patrick M. & Lee, Jim
- 11/2005 The mixed oligopoly of cross-border payment systems
by Kauko, Karlo
- 10/2005 The optimal tax treatment of housing capital in the neoclassical growth model
by Eerola, Essi & Määttänen, Niku
- 9/2005 Bank interest rates in a small European economy: Some exploratory macro level analyses using Finnish data
by Kauko, Karlo
- 8/2005 Government size and output volatility: is there a relationship?
by Virén, Matti
- 7/2005 Productivity differentials and external balance in ERM II
by Henriksson, Marketta
- 6/2005 The role of expectations in the inflation process in the euro area
by Paloviita, Maritta & Virén, Matti
- 5/2005 Why do capital intensive companies pay higher wages?
by Virén, Matti
- 4/2005 Labour productivity growth and industry structure. The impact of industry structure on productivity growth, export prices and labour compensation
by Sinkkonen, Johanna
- 3/2005 Relationship lending and competiiton: higher switching cost does not necessarily imply greater relationship benefits
by Vesala, Timo
- 2/2005 Ageing, interest rates, and financial flows
by Saarenheimo, Tuomas
- 1/2005 An intuitive guide to wavelets for economists
by Crowley, Patrick M.
2004
- 31/2004 Robust monetary policy in the New-Keynesian framework
by Leitemo, Kai & Söderström, Ulf
- 30/2004 Central counterparty clearing: constructing a framework for evaluation of risks and benefits
by Ripatti, Kirsi
- 29/2004 Equilibrium dynamics under lump-sum taxation in an exchange economy with skewed endowments
by Puhakka, Mikko
- 28/2004 Stable price level and changing prices
by Suvanto, Antti & Hukkinen, Juhana
- 27/2004 Less cash on the counter: forecasting Finnish payment preferences
by Jyrkönen, Hanna
- 26/2004 Trading Nokia: the roles of the Helsinki vs the New York stock exchanges
by Jokivuolle, Esa & Lanne, Markku
- 25/2004 Multihoming in the market for payment media: evidence from young Finnish consumers
by Hyytinen, Ari & Takalo, Tuomas
- 24/2004 The impact of macroeconomic news on exchange rate volatility
by Laakkonen, Helinä
- 23/2004 Heterogenous information about the term structure, least-squares learning and optimal rules for inflation targeting
by Schaling, Eric & Eijffinger, Sylvester C. W. & Tesfaselassie, Mewael F.
- 22/2004 Labour market reform and the sustainability of exchange rate pegs
by Castrén, Olli & Takalo, Tuomas & Wood, Geoffrey
- 21/2004 Inflation dynamics in the euro area and the role of expectations: further results
by Paloviita, Maritta
- 20/2004 Monetary consequences of alternative fiscal policy rules
by Railavo, Jukka
- 19/2004 Expectational business cycles
by Guse, Eran A.
- 18/2004 Macro stress testing with a macroeconomic credit risk model for Finland
by Virolainen, Kimmo
- 17/2004 The efficiency implications of financial conglomeration
by Mälkönen, Ville
- 16/2004 The use of real time information in Phillips curve relationships for the euro area
by Paloviita, Maritta & Mayes, David G.
- 15/2004 The anticipated and concurring effects of the EMU: exchange rate volatility, institutions and growth
by Bagella, Michele & Becchetti, Leonardo & Hasan, Iftekhar
- 14/2004 Asymmetric information in credit markets and entrepreneurial risk taking
by Vesala, Timo
- 13/2004 Large value payment systems: principles and present and future developments
by Iivarinen, Timo
- 12/2004 Measuring the long-term perception of monetary policy and the term structure
by Rautureau, Nicolas
- 11/2004 Equilibrium unemployment and investment under product and labour market imperfections
by Kauppi, Heikki & Koskela, Erkki & Stenbacka, Rune
- 10/2004 Capital adequacy regulation and financial conglomerates
by Mälkönen, Ville
- 9/2004 Asymmetries in the Euro area economy
by Mayes, David & Virén, Matti
- 8/2004 Further evidence on the link between finance and growth: an international analysis of community banking and economic performance
by Berger, Allen N. & Hasan, Iftekhar & Klapper, Leora F.
- 7/2004 Monopoly rights can reduce income big time
by Herrendorf, Berthold & Teixeira, Arilton
- 6/2004 Unintended convergence: how Finnish unemployment reached the European level
by Koskela, Erkki & Uusitalo, Roope
- 5/2004 Robust expectations and uncertain models: a robust contol approach with application to the new Keynesian economy
by Kilponen, Juha
- 4/2004 An approach to bank insolvency in transition and emerging economies
by Mayes, David G.
- 3/2004 Monetary policy and learning in an open economy
by Ellison, Martin & Sarno, Lucio & Vilmunen, Jouko
- 2/2004 Extracting growth and inflation expectations from financial market data
by Kajanoja, Lauri
- 1/2004 Stability consequences of fiscal policy rules
by Railavo, Jukka
2003
- 35/2003 A calibrated structural model of the Czech economy
by Hlédik, Tibor
- 34/2003 Effects of the supply-side channel on stabilisation properties of policy rules
by Railavo, Jukka
- 33/2003 Determinants of the loan loss allowance: some cross-country comparisons
by Hasan, Iftekhar & Wall, Larry D.
- 32/2003 Kohtaantofunktio suomalaisilla työmarkkinoilla vuosina 1988-2002: alue- ja ammattiryhmien väliset erot kohtaannon tehokkuudessa
by Bunders, Markus
- 31/2003 The rigidity bias
by Herrala, Risto
- 30/2003 Adaptive learning and multiple equilibria in a natural rate monetary model with unemployment persistence
by Rantala, Anssi
- 29/2003 Irreversible investment under interest rate variability: new results
by Alvarez, Luis H. R. & Koskela, Erkki
- 28/2003 Are adverse selection models of debt robust to changes in market structure?
by Vauhkonen, Jukka
- 27/2003 Staggered prices and trend inflation: Some nuisances
by Ascari, Guido
- 26/2003 Interlinking securities settlement systems: A strategic commitment?
by Kauko, Karlo
- 25/2003 Preventing systemic crises through bank transparency
by Hyytinen, Ari & Takalo, Tuomas
- 24/2003 Buffer funding of unemployment insurance in a dynamic labour union model
by Halko, Marja-Liisa
- 23/2003 Simulating interbank payments and securities settlement mechanism with the BoF-PSS2 simulator
by Leinonen, Harry & Soramäki, Kimmo
- 22/2003 Policy interaction, expectation and the liquidity trap
by Evans, George W. & Honkapohja, Seppo
- 21/2003 The role of market discipline in handling problem banks
by Llewellyn, David T. & Mayes, David G.
- 20/2003 Learning, inflation expectations and optimal monetary policy
by Schaling, Eric
- 19/2003 Equilibrium unemployment under negotiated profit sharing
by Koskela, Erkki & Stenbacka, Rune
- 18/2003 A Positive theory of monetary policy and robust control
by Kilponen, Juha
- 17/2003 Investor protection and business creation
by Hyytinen, Ari & Takalo, Tuomas