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Content
2003
- 17/2003 Investor protection and business creation
by Hyytinen, Ari & Takalo, Tuomas
- 16/2003 Competition and regulation in European retail payment systems
by Kemppainen, Kari
- 15/2003 Cross-country asymmetries in euro area monetary transmission: The role of national financial systems
by Putkuri, Hanna
- 14/2003 Financial contracts and contingent control rights
by Vauhkonen, Jukka
- 13/2003 Banks' equity stakes in borrowing firms: A corporate finance approach
by Vauhkonen, Jukka
- 12/2003 Optimal discretionary monetary policy in the open economy: Choosing between CPI and domestic inflation as target variables
by Guender, Alfred V.
- 11/2003 Labour market flexibility and policy coordination in a monetary union
by Rantala, Anssi
- 10/2003 Friedman's money supply rule vs optimal interest rate policy
by Evans, George W. & Honkapohja, Seppo
- 9/2003 Money as an indicator variable for monetary policy when money demand is forward looking
by Kajanoja, Lauri
- 8/2003 Card, Internet and mobile payments in Finland
by Jyrkönen, Hanna & Paunonen, Heli
- 7/2003 Restructuring securities systems processing: A blue print proposal for real-time/t+0 processing
by Leinonen, Harry
- 6/2003 Equilibrium in financial markets with adverse selection
by Takalo, Tuomas & Toivanen, Otto
- 5/2003 Economic evaluation of bank exit regimes in US, EU and Japanese financial centres
by Granlund, Peik
- 4/2003 Simulation-based stress testing of banks' regulatory capital adequacy
by Peura, Samu & Jokivuolle, Esa
- 3/2003 Aasian, Venäjän ja Turkin rahoituskriisien vertailua
by Lukkarila, Johanna
- 2/2003 Do networks in the stock exchange industry pay off? European evidence
by Hasan, Iftekhar & Schmiedel, Heiko
- 1/2003 Payment systems efficiency, policy approaches, and the role of the central bank
by Khiaonarong, Tanai
2002
- 29/2002 Adaptive learning and monetary policy design
by Evans, George W. & Honkapohja, Seppo
- 28/2002 Väestön vanheneminen, työmarkkinat ja julkisen talouden näkymät
by Kinnunen, Helvi
- 27/2002 Links between securities settlement systems: An oligopoly theoretic approach
by Kauko, Karlo
- 26/2002 Economies of scale and technological development in securities depository and settlement systems
by Schmiedel, Heiko & Malkamäki, Markku & Tarkka, Juha
- 25/2002 Bank exit legislationin US, EU and Japanese financial centres
by Granlund, Peik
- 24/2002 Variable rate liquidity tenders
by Välimäki, Tuomas
- 23/2002 Settlement in modern network-based payment infrastructures: Description and prototype of the E-Settlement model
by Leinonen, Harry & Lumiala, Veli-Matti & Sarlin, Riku
- 22/2002 Dynamics of investment behaviour in Finland: Aggregate and firm level evidence
by Vilmunen, Jouko
- 21/2002 Nonlinear dynamics of interest rate and inflation
by Lanne, Markku
- 20/2002 Inflation dynamics in the euro area and the role of expectations
by Paloviita, Maritta
- 19/2002 Reconciling the new keynesian model with observed persistence
by Leong, Kenneth
- 18/2002 Policy interaction, learning and the fiscal theory of prices
by Evans, George W. & Honkapohja, Seppo
- 17/2002 Lender of last resort and the moral hazard problem
by Niskanen, Mikko
- 16/2002 A Descriptive analysis of the Finnish treasury bond market 1991-1999
by Keloharju, Matti & Malkamäki, Markku & Nyborg, Kjell G. & Rydqvist, Kristian
- 15/2002 Banks' option to lend, interest rate sensitivity, and credit availability
by Hasan, Iftekhar & Sudipto, Sarkar
- 14/2002 Effects of fiscal policy on the durability of low inflation regimes
by Pohjola, Tapio
- 13/2002 Riskirahastot
by Pylkkönen, Pertti
- 12/2002 Banking sector output and labour productivity in six European countries
by Mörttinen, Leena
- 11/2002 Total factor productivity growth in European stock exchanges: A non-parametric frontier approach
by Schmiedel, Heiko
- 10/2002 Cash usage in Finland: How much can be explained?
by Paunonen, Heli & Jyrkönen, Hanna
- 9/2002 Return-volatility linkages in the international equity and currency markets
by Francis, Bill B. & Hasan, Iftekhar & Hunter, Delroy M.
- 8/2002 Law or finance: evidence from Finland
by Hyytinen, Ari & Kuosa, Iikka & Takalo, Tuomas
- 7/2002 Fiscal policy: Coordination, discipline and stabilisation
by Brunila, Anne
- 6/2002 Cyclical stabilisation under the stability and growth pact: How effective are automatic stabilisers?
by Brunila, Anne & Buti, Marco & Veld, Jan in't
- 5/2002 Financial institutions and the allocation of talent
by Kanniainen, Vesa & Leppämäki, Mikko
- 4/2002 Technology, automation and productivity of stock exchanges: International evidence
by Hasan, Iftekhar & Malkamäki, Markku & Schmiedel, Heiko
- 3/2002 Performance of monetary policy with internal central bank forecasting
by Honkapohja, Seppo & Mitra, Kaushik
- 2/2002 Forecasting the macroeconomy with current financial market information: Europe and the United States
by Junttila, Juha
- 1/2002 Bidding in fixed rate tenders: Theory and experience with the ECB tenders
by Välimäki, Tuomas
2001
- 26/2001 Payment and financial innovation, reserve demand and implementation of monetary policy
by Lahdenperä, Harri
- 25/2001 Finnish monetary and foreign exchange policy and the changeover to the euro
by Korhonen, Tapio
- 24/2001 Securities market ATSs concepts, their roles and related policy issues
by Korhonen, Kari
- 23/2001 Should unemployment benefits decrease as the unemployment spell lengthens?
by Saarenheimo, Tuomas
- 22/2001 Stock exchange alliances, access fees and competition
by Shy, Oz & Tarkka, Juha
- 21/2001 Technological development and concentration of stock exchanges in Europe
by Schmiedel, Heiko
- 20/2001 Output gaps and technological progress in European monetary Union
by Dimitz, Maria Antoinette
- 19/2001 Labour taxation and employment in trade union models: a partial survey
by Koskela, Erkki
- 18/2001 Monetary policy rules in practice: Evidence from New Zealand
by Huang, Angela & Margaritis, Dimitri & Mayes, David
- 17/2001 Financial conditions indexes
by Mayes, David & Virén, Matti
- 16/2001 Should new or rapidly growing banks have more equity?
by Niinimäki, Juha-Pekka
- 15/2001 A value-at-risk approach to banks' capital buffers: An application to the new Basel Accord
by Jokivuolle, Esa & Peura, Samu
- 14/2001 Financial market volatility: Informative in predicting recessions
by Annaert, Jan & De Ceuster, Marc J.K. & Valckx, Nico
- 13/2001 Factors affecting asset price expectations: Fundamentals and policy
by Valckx, Nico
- 12/2001 Yksityisasiakkaiden maksuliikepalvelujen hinnoittelu Suomessa
by Koskinen, Jenni
- 11/2001 Regime-dependent impulse response functions in a Markov-switching vector autoregression model
by Ehrmann, Michael & Ellison, Martin & Valla, Natacha
- 10/2001 Declining labour share: Evidence of a change in the underlying production technology
by Ripatti, Antti & Vilmunen, Jouko
- 9/2001 Gridlock resolution in interbank payment systems
by Bech, Morten L. & Soramäki, Kimmo
- 8/2001 Fixed rate tenders and the overnight money market equilibrium
by Välimäki, Tuomas
- 7/2001 Does monetary union reduce employment?
by Rantala, Anssi
- 6/2001 The role of macroeconomic shocks in banking crises
by Pesola, Jarmo
- 5/2001 Equilibrium unemployment with credit and labour market imperfections
by Koskela, Erkki & Stenbacka, Rune
- 4/2001 Stabilisation bias in monetary policy under endogenous price stickiness
by Ellison, Martin
- 3/2001 Actual and perceived monetary policy rules in a dynamic equilibrium model of the euro area
by Kortelainen, Mika
- 2/2001 The New Basel accord: Some potential implications of the new standards for credit risk
by Jokivuolle, Esa & Kauko, Karlo
- 1/2001 An assessment of alternative lender of last resort schemes
by Herrala, Risto
2000
- 24/2000 Cross-border performance in European banking
by Hasan, Iftekhar & Lozano-Vivas, Ana & Pastor, Jesús
- 23/2000 Consumption and uncertain access to the asset market
by Rudanko, Leena
- 22/2000 The term structure of real interest rates: Theory and evidence form UK index-linked bonds
by Seppälä, Juha
- 21/2000 The effects of competition on banks' risk taking with and without deposit insurance
by Niinimäki, Juha-Pekka
- 20/2000 Are expansions cost effective for stock exchanges? A global perspective
by Hasan, Iftekhar & Malkamäki, Markku
- 19/2000 Evolution of retail payments in Finland in the 1990s
by Snellman, Jussi
- 18/2000 Luottolaitoksille sallittu liiketoiminta: oikeudellinen selvitys
by Lounatvuori, Markku
- 17/2000 Re-engineering payment systems for the E-world
by Leinonen, Harry
- 16/2000 Capital structure, wage bargaining and employment
by Koskela, Erkki & Stenbacka, Rune
- 15/2000 Recent developments in the Finnish banking sector
by Andersén, Atso & Hyytinen, Ari & Snellman, Jussi
- 14/2000 The credit channel of monetary policy and housing markets: International empirical evidence
by Iacoviello, Matteo & Minetti, Raoul
- 13/2000 Forecasting the real US/DEM exchange rate: TAR vs. AR
by Kuo, Biing-Shen & Mikkola, Anne
- 12/2000 Agency cost of debt and lending market competition: Is there a relationship?
by Koskela, Erkki & Stenbacka, Rune
- 11/2000 Asymmetry and the problem of aggregation in the euro area
by Mayes, David G. & Virén, Matti
- 10/2000 Enhancing bank transparency: A re-assessment
by Hyytinen, Ari & Takalo, Tuomas
- 9/2000 Monitoring and market power in loan markets
by Hyytinen, Ari & Toivanen, Otto
- 8/2000 Housing markets, liquidity constraints and labor mobility
by Haavio, Markus & Kauppi, Heikki
- 7/2000 Surveys on electronic money
by Gormez, Yuksel & Capie, Forrest
- 6/2000 Payments remain fundamental for banks and central banks
by Pauli, Ralf
- 5/2000 Labour supply and income tax changes: A simulation study for Finland
by Kuismanen, Mika
- 4/2000 Informed trading, short sales constraints and futures' pricing
by Hietala, Pekka & Jokivuolle, Esa & Koskinen, Yrjö
- 3/2000 Markets, reserves and lenders of last resort as sources of bank liquidity
by Herrala, Risto
- 2/2000 A model for estimating recovery rates and collateral haircuts for bank loans
by Jokivuolle, Esa & Peura, Samu
- 1/2000 Substitution on noncash payment instruments for cash in Europe
by Snellman, Jussi & Vesala, Jukka & Humphrey, David
1999
- 23/1999 Industry equilibrium with outside financing and moral hazard: Effects of market integration
by Suominen, Matti
- 22/1999 The value of publishing official central bank forecasts
by Tarkka, Juha & Mayes, David
- 21/1999 Strategic challenges for exchanges and securities settlement
by Malkamäki, Markku & Topi, Jukka
- 20/1999 Testing the expectations hypothesis of the term structure of interest rates in the presence of a potential regime shift
by Lanne, Markku
- 19/1999 Stock return on Scandinavian stock markets and the banking industry: Evidence from the years of financial liberalisation and banking crisis
by Hyytinen, Ari
- 18/1999 Changes in Finland's international investment position, 1985-1998: A brief statistical analysis
by Hilpinen, Jorma & Hella, Heikki
- 17/1999 The nonlinearity of the Phillips curve and European monetary policy
by Pyyhtiä, Ilmo
- 16/1999 Optimizing liquidity usage and settlement speed in payment systems
by Leinonen, Harry & Soramäki, Kimmo
- 15/1999 Rahapolitiikan säännöt: Katsaus kirjallisuuteen
by Peura, Tapio
- 14/1999 The effects of transmission uncertainty on the flexibility-credibility tradeoff in monetary policy
by Sénégas, Marc-Alexandre & Vilmunen, Jouko
- 13/1999 Bank relationships and small-business closures during the Finnish recession of the 1990s
by Kinnunen, Helvi & Vihriälä, Vesa
- 12/1999 Anticipated monetary policy and the dynamic behaviour of the term structure of interest rates
by Jääskelä, Jarkko & Vilmunen, Jouko
- 11/1999 Divergences in the euro area: A cause for concern?
by Björkstén, Nils & Syrjänen, Miika
- 10/1999 Unemployment in a small open economy: Finland and New Zealand
by Mayes, David G. & Vilmunen, Jouko
- 9/1999 Central bank independence and wage bargaining structure: Empirical evidence
by Kilponen, Juha
- 8/1999 Forecasting the electronification of payments with learning curves: The case of Finland
by Snellman, Jussi & Vesala, Jukka
- 7/1999 The inflation target and the structure of labour markets: Implications for common monetary policy
by Kilponen, Juha
- 6/1999 On the estimation of Euler equations in the presence of a potential regime shift
by Saikkonen, Pentti & Ripatti, Antti
- 5/1999 Valuuttakauppojen selvitysriskit ja niiden hallinta
by Herrala, Risto & Nieminen, Risto
- 4/1999 Are there economies of scale in stock exchange activities?
by Malkamäki, Markku
- 3/1999 Euroopan pankkien kehitysnäkymiä
by Andersén, Atso & Niskanen, Mikko & Ylä-Outinen, Sami
- 2/1999 Accountability of the ECB and a government's incentives to rebel against the common monetary policy in EMU
by Castrén, Olli
- 1/1999 Indicators of the cyclically adjusted budget balance: The Bank of Finland's experience
by Brunila, Anne & Hukkinen, Juhana & Tujula, Mika
1998
- 31/1998 What do we know about productivity gaps and convergence in EMU economies?
by Tyrväinen, Timo
- 30/1998 Ilmoitusvelvollisten osakekaupan ajoitus ja tuotot
by Kasanen, Juha
- 29/1998 Cointegrated vector autoregressive processes with continuous structural changes
by Ripatti, Antti & Saikkonen, Pentti
- 28/1998 Developing the interbank payment system: Efficiency of public versus private investments
by Kauko, Karlo
- 27/1998 The exchange rate and monetary conditions in the euro area
by Mayes, David G. & Virén, Matti
- 26/1998 Suomen ja Saksan budjettialijäämäerojen vaikutus nimelliskorkoeroon
by Virtanen, Outi
- 25/1998 Sustainability of public finances in Finland and the four largest Euro-area Economies
by Kinnunen, Helvi & Kuoppamäki, Pasi
- 24/1998 Simulating the effects of imperfect credibility: How does the Peso problem affect the real economy?
by Mattila, Veli-Matti
- 23/1998 Improving banking supervision
by Mayes, David G.
- 22/1998 Market structure and risk taking in the banking industry
by Shy, Oz & Stenbacka, Rune
- 21/1998 The market for electronic cash cards
by Shy, Oz & Tarkka, Juha
- 20/1998 On the problems of the home country control
by Mayes, David & Vesala, Jukka
- 19/1998 Suomen Pankin tase vuosina 1868-1992: Kuukausisarjat
by Ikonen, Vappu
- 18/1998 Delivery networks and pricing behaviour in banking: An empirical investigation using Finnish data
by Vesala, Jukka
- 17/1998 Japanin rahoitusmarkkinoiden rakenne ja pankkikriisi
by Andersén, Atso
- 16/1998 Interbank funds transfer systems: Liquidity needs, counterparty risks and collateral
by Leinonen, Harry
- 15/1998 Is there scope for inflation differentials in EMU? An empirical evaluation of the Balassa-Samuelson model in EMU countries
by Alberola, Enrique & Tyrväinen, Timo
- 14/1998 Monetary policy delegation, labour market structure and fiscal-monetary policy coordination
by Castrén, Olli
- 13/1998 Macroeconomic effects of looming policy shifts: Non-falsified expectations and Peso problems
by Vilmunen, Jouko
- 12/1998 House prices and inflation: a cointegration analysis for Finland and Sweden
by Barot, Bharat & Takala, Kari
- 11/1998 Pörssiyhtiöiden sisäpiirin osakekauppa ja -omistus Suomessa
by Kasanen, Juha
- 10/1998 The BOF5 macroeconomic model of Finland: Structure and equations
by Willman, Alpo & Kortelainen, Mika & Männistö, Hanna-Leena & Tujula, Mika
- 9/1998 Maksuliikkeen katteensiirtojärjestelmät: Likviditeettitarpeet, vastapuoliriskit ja vakuuskäytännöt
by Leinonen, Harry
- 8/1998 Technological transformation and nonbank competition in a model of retail banking oligopoly
by Vesala, Jukka
- 7/1998 The overnight rate of interest under averaged reserve requirements: Some theoretical aspects and the Finnish experience
by Välimäki, Tuomas
- 6/1998 The time-varying NAIRU and potential output in Finland
by Rasi, Chris-Marie & Viikari, Jan-Markus
- 5/1998 How to evaluate the forecasting performance of a macroeconomic model
by Hukkinen, Juhana & Virén, Matti
- 4/1998 Earmarking of environmental taxes: efficient, after all
by Pirttilä, Jukka
- 3/1998 The sources of output shocks in Finland and other EU countries
by Kinnunen, Helvi
- 2/1998 Evolving voluntary rules for the operation of the European Central Bank
by Mayes, David G.
- 1/1998 Monetary policy in a bipolar international monetary system
by Ranki, Sinimaaria
1997
- 20/1997 Macroeconomy and consumer sentiment: performance of the Finnish consumer barometer after ten years
by Djerf, Kari & Takala, Kari
- 19/1997 Maksuvälineet ja -järjestelmät EU:ssa: Vertailu Suomen ja eräiden EU-maiden välillä
by Hatakka, Tuula
- 18/1997 A market based approach to maintaining systemic stability: experiences from New Zealand
by Mayes, David G.
- 17/1997 Inflation targeting and the role of money in a model with sticky prices and sticky money
by Ripatti, Antti
- 16/1997 Time-varying markups: Empirical analysis of markups in Finnish industries
by Forsman, Pentti & Saarenheimo, Tuomas & Terviö, Marko
- 15/1997 A model of common monetary policy
by Tarkka, Juha
- 14/1997 Suomen maksutase 1914-1939: Taloushistoriallinen katsaus ja tilastot
by Lappalainen, Matti
- 13/1997 The Bank of Finland foreign trade survey 1995-1996: A quality evaluation
by Hilpinen, Jorma & Hakuni, Mika
- 12/1997 Inflaation haitat
by Forsman, Pentti
- 11/1997 Monetaariset divisia-indeksit Suomessa
by Kiviniemi, Jori Petteri
- 10/1997 Valuuttatermiinimarkkinoiden toiminta Suomessa
by Hietalahti, Jorma & Kuussaari, Harri
- 9/1997 Finanssipolitiikan liikkumavara, eläkkeiden rahoitus ja EMU
by Kinnunen, Helvi & Tujula, Mika
- 8/1997 Incomplete insurance market and its policy implication within European Monetary Union
by Jääskelä, Jarkko
- 7/1997 Exchange rate, interest rate and stock market price volatility for value-at-risk analysis
by Ahlstedt, Monica
- 6/1997 Current income and private consumption: Saving decisions: Testing the finite horizon model
by Brunila, Anne
- 5/1997 Monetary policy in the ERM: Internal targets or external constraints?
by Ranki, Sinimaaria
- 4/1997 Estimating exchange market pressure and the degree of exchange market intervention for Finland during the floating exchange rate regime
by Pösö, Mika & Spolander, Mikko
- 3/1997 Limited and full information estimation of the rational expectations demand for the money model: application to Finnish M1
by Ripatti, Antti
- 2/1997 Fiscal policy and private consumption: Saving decisions: Evidence from nine EU countries
by Brunila, Anne
- 1/1997 Macroeconomic aspects of systemic bank restructuring
by Nyberg, Peter
1996
- 31/1996 Rahan tarjonta Suomessa 1868-1980
by Autio, Jaakko
- 30/1996 Markups and measurement errors in six EU countries
by Forsman, Pentti & Saarenheimo, Tuomas & Terviö, Marko
- 29/1996 Who's driving wages in Finland? Or is anyone?
by Tyrväinen, Timo
- 28/1996 Fiscal policy and private consumption: Saving decisions: Evidence from Finland
by Brunila, Anne
- 27/1996 Pankkisääntelyn teoria ja normit: Oikeudellinen näkökulma
by Halme, Liisa
- 26/1996 The pass-through of exchange rate changes to import prices
by Ketelsen, Uwe & Kortelainen, Mika
- 25/1996 Pörssikurssien kehitys Suomessa 1896-1929: Uudet indeksisarjat ja niiden tulkinta
by Poutvaara, Panu
- 24/1996 Suomalaisten vakuutusyhtiöiden sijoitustoiminta
by Pylkkönen, Pertti
- 23/1996 Assessing the forecasting performance of a macroeconomic model
by Hukkinen, Juhana & Virén, Matti
- 22/1996 From policy rate to market rates: An empirical analysis of Finnish monetary transmission
by Redward, Peter & Saarenheimo, Tuomas
- 21/1996 Johdannaismarkkinat: Maailmanlaajuinen keskuspankkikysely 1995
by Ahokas, Matti & Kuussaari, Harri & Virolainen, Kimmo
- 20/1996 Suomen Pankki ja tiedotusvälineet: Virkamiesten ja taloustoimittajien vuorovaikutus
by Ahonen, Jukka
- 19/1996 The term structure of interest rates: Estimation and interpretation
by Seppälä, Juha & Viertiö, Petri
- 18/1996 Stability of the demand for M1 and harmonized M3 in Finland
by Ripatti, Antti
- 17/1996 Maksujärjestelmät ja -välineet Suomessa
by Saarinen, Veikko
- 16/1996 Eläkerahoitus ja talouskasvu: Taloutta kohtaavien sokkien vaikutus kasvuun ja hyvinvointiin osittain rahastoivassa eläkejärjestelmässä
by Ayub, Mikko
- 15/1996 Monetary policy for smoothing real fluctuations? Assessing Finnish monetary autonomy
by Saarenheimo, Tuomas
- 14/1996 Valtion luotonotto ja velkapaperimarkkinat Italiassa
by Rantalainen, Kristina
- 13/1996 A cross-country study of market-based housing finance
by Andersen, Kaare Guttorm & Kauko, Karlo
- 12/1996 Structural reform in New Zealand: A review
by Redward, Peter
- 11/1996 Credit crunch of collateral squeeze? An empirical analysis of credit supply of the Finnish local banks in 1990-1992
by Vihriälä, Vesa
- 10/1996 Credit growth and moral hazard: An empirical study of the causes of credit expansion by the Finnish local banks in 1986-1990
by Vihriälä, Vesa
- 9/1996 Bank capital, capital regulation and lending
by Vihriälä, Vesa
- 8/1996 Theoretical aspects to the Finnish credit cycle
by Vihriälä, Vesa
- 7/1996 Korot Suomessa 1862-1952
by Autio, Jaakko
- 6/1996 Microeconomic and macroeconomic influences of entry and exit of firms
by Ilmakunnas, Pekka & Topi, Jukka
- 5/1996 Suomen teollisuuden rakenne ja häiriöalttius suhteessa muihin EU-maihin
by Ahonen, Jukka & Pyyhtiä, Ilmo
- 4/1996 OTC-johdannaiset ja Suomen oikeus
by Lauha, Janne