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. 32/2006: Finnish consumers' expectations on developments and changes in payment habits. Survey in connection with the research project 'Finnish payment habits 2010'

Tomi Dahlberg and Anssi Öörni
No. 31/2006: The effect of lenders’ credit risk transfer activities on borrowing firms’ equity returns

Ian W Marsh
No. 30/2006: The importance of attractive prices in pricing dynamics

Ville Aalto-Setälä and Robert Schindler
No. 29/2006: A global house price bubble? Evaluation based on a new rent-price approach

Katja Taipalus
No. 28/2006: Population ageing in a small open economy – some policy experiments with a tractable general equilibrium model

Juha Kilponen, Helvi Kinnunen and Antti Ripatti
No. 27/2006: Rating targeting and the confidence levels implicit in bank capital

Esa Jokivuolle and Samu Peura
No. 26/2006: The adverse selection problem in imperfectly competitive credit markets

Ville Mälkönen and Timo Vesala
No. 25/2006: Monetary policy and rejections of the expectations hypothesis

Federico Ravenna and Juha Seppälä
No. 24/2006: Financial market integration and the value of global diversification: evidence from US acquirers in cross-border mergers and acquisitions

Bill B Francis, Iftekhar Hasan and Xian Sun
No. 23/2006: The use of loan loss provisions for capital management, earnings management and signalling by Australian banks

Asokan Anandarajan, Iftekhar Hasan and Cornelia McCarthy
No. 22/2006: Forecasting market crashes: further international evidence

Terhi Jokipii
No. 21/2006: ATM networks and cash usage

Heli Snellman and Matti Virén
No. 20/2006: Why the marginal MRO rate exceeds the ECB policy rate?

Tuomas Välimäki
No. 19/2006: Why do bank runs look like panic? A new explanation

Yehning Chen and Iftekhar Hasan
No. 18/2006: How hard is the euro are core? An evaluation of growth cycles using wavelet analysis

Patrick Crowley, Douglas Maraun and David Mayes
No. 17/2006: The cyclical behaviour of European bank capital buffers

Terhi Jokipii and Alistair Milne
No. 16/2006: Legislation, investor protection and financial growth

Elina Rainio
No. 15/2006: Contagion and interdependence: measuring CEE banking sector co-movements

Terhi Jokipii and Brian Lucey
No. 14/2006: Open market operations: beyond the new consensus

Jan Toporowski
No. 13/2006: Money market volatility, A simulation study

Michal Kempa
No. 12/2006: Labour taxation and shock propagation in a New Keynesian model with search frictions

Juuso Vanhala
No. 11/2006: The effect of a transaction tax on exchange rate volatility

Markku Lanne and Timo Vesala
No. 10/2006: Fundamentals and technical trading: behaviour of exchange rates in the CEECs

Mikael Bask and Jarko Fidrmuc
No. 9/2006: The stability of electricity prices: estimation and inference of the Lyapunov exponents

Mikael Bask, Tung Liu and Anna Widerberg
No. 8/2006: Exchange rate volatility without the contrivance of fundamentals and the failure of PPP

Mikael Bask
No. 7/2006: Adaptive learning in an expectational difference equation with several lags: selecting among learnable REE

Mikael Bask
No. 6/2006: Announcement effects on exchange rate movements: continuity as a selection criterion among the REE

Mikael Bask
No. 5/2006: Labour and product market competition in a small open economy, Simulation results using a DGE model of the Finnish economy

Juha Kilponen and Antti Ripatti
No. 4/2006: Robustness in monetary policymaking: a case for the Friedman rule

Juha Kilponen and Kai Leitemo
No. 3/2006: Pricing risky bank loans in the new Basel II environment
Published
Iftekhar Hasan and Cristiano Zazzara
No. 2/2006: Policy words and policy deeds: the ECB and the euro

Pierre Siklos and Martin Bohl
No. 1/2006: The role of comparing in financial markets with hidden information

Juha-Pekka Niinimäki, Tuomas Takalo and Klaus Kultti
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