Research Discussion Papers, Bank of Finland
1992 1993 1994 1995 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015
No. 29/2002: Adaptive learning and monetary policy design
George W. Evans and Seppo Honkapohja
No. 28/2002: Population ageing, labour markets and the outlook for public finances
Helvi Kinnunen
No. 27/2002: Links between securities settlement systems: An oligopoly theoretic approach
Karlo Kauko
No. 26/2002: Economies of scale and technological development in securities depository and settlement systems
Heiko Schmiedel, Markku Malkamäki and Juha Tarkka
No. 25/2002: Bank exit legislation in US, EU and Japanese financial centres
Peik Granlund
No. 24/2002: Variable rate liquidity tenders
Tuomas Välimäki
No. 23/2002: Settlement in modern network-based payment infrastructures – description and prototype of the E-Settlement model
Harry Leinonen, Veli-Matti Lumiala and Riku Sarlin
No. 22/2002: Dynamics of investment behaviour in Finland: aggregate and firm level evidence
Jouko Vilmunen
No. 21/2002: Nonlinear dynamics of interest rate and inflation
Markku Lanne
No. 20/2002: Inflation dynamics in the euro area and the role of expectations
Maritta Paloviita
No. 19/2002: Reconciling the New Keynesian model with observed persistence
Kenneth Leong
No. 18/2002: Policy interaction, learning and the fiscal theory of prices
George W. Evans and Seppo Honkapohja
No. 17/2002: Lender of last resort and the moral hazard problem
Mikko Niskanen
No. 16/2002: A descriptive analysis of the Finnish treasury bond market 1991–1999
Matti Keloharju, Markku Malkamäki, Kjell G. Nyborg and Kristian Rydqvist
No. 15/2002: Banks’ option to lend, interest rate sensitivity, and credit availability
Iftekhar Hasan and Sudipto Sarkar
No. 14/2002: Effects of fiscal policy on the durability of low inflation regimes
Tapio Pohjola
No. 12/2002: Banking sector output and labour productivity in six European countries
Leena Mörttinen
No. 11/2002: Total factor productivity growth in European stock exchanges: A non-parametric frontier approach
Heiko Schmiedel
No. 10/2002: Cash usage in Finland – How much can be explained?
Heli Paunonen and Hanna Jyrkönen
No. 9/2002: Return-volatility linkages in the international equity and currency markets
Bill B Francis, Iftekhar Hasan and Delroy M. Hunter
No. 8/2002: Law of finance: Evidence from Finland
Ari Hyytinen, Iikka Kuosa and Tuomas Takalo
No. 7/2002: Fiscal policy: Coordination, discipline and stabilisation
Anne Brunila
No. 6/2002: Cyclical stabilisation under the Stability and Growth Pact: How effective are automatic stabilisers?
Anne Brunila, Marco Buti and Jan in't Veld
No. 5/2002: Financial institutions and the allocation of talent
Vesa Kanniainen and Mikko Leppämäki
No. 4/2002: Technology, automation, and productivity of stock exchanges: International evidence
Iftekhar Hasan, Markku Malkamäki and Heiko Schmiedel
No. 3/2002: Performance of monetary policy with internal central bank forecasting
Seppo Honkapohja and Kaushik Mitra
No. 2/2002: Forecasting the macroeconomy with current financial market information: Europe and the United States
Juha Junttila
No. 1/2002: Bidding in fixed rate tenders: theory and experience with the ECB tenders
Tuomas Välimäki
1992 1993 1994 1995 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015
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