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. 33/2007: The lending channel under optimal choice of monetary policy
Juha Kilponen and Alistair Milne
No. 32/2007: Expectations, learning and monetary policy: an overview of recent research
George W Evans and Seppo Honkapohja
No. 31/2007: Robust learning stability with operational monetary policy rules
George W Evans and Seppo Honkapohja
No. 30/2007: What determines commercial banks’ demand for reserves in the interbank market
Michal Kempa
No. 29/2007: The international transmission of monetary policy in a dollar pricing model
Published
Juha Tervala
No. 28/2007: ‘Some unpleasant fiscal arithmetic’: the role of monetary and fiscal policy in public debt dynamics since the 1970s
Harri Hasko
No. 27/2007: Integration in euro area retail banking markets – convergence of credit interest rates
Laura Vajanne
No. 26/2007: GDP at risk in a DSGE model: an application to banking sector stress testing
Esa Jokivuolle, Juha Kilponen and Tero Kuusi
No. 25/2007: A case for interest rate smoothing
Mikael Bask
No. 24/2007: Optimal monetary policy in a hybrid New Keynesian model with a cost channel
Mikael Bask
No. 23/2007: Exchange rate volatility, macro announcements and the choice of intraday seasonality filtering method
Helinä Laakkonen
No. 22/2007: Instrument rules in monetary policy under heterogeneity in currency trade
Mikael Bask
No. 21/2007: Optimal monetary policy under heterogeneity in currency trade
Mikael Bask
No. 20/2007: Measuring potential market risk
Mikael Bask
No. 19/2007: Long swings and chaos in the exchange rate in a DSGE model with a Taylor rule
Mikael Bask
No. 18/2007: Monetary policy, expected inflation and inflation risk premia
Federico Ravenna and Juha Seppälä
No. 17/2007: Pre-emptive horizontal mergers: theory and evidence
Jozsef Molnar
No. 16/2007: Bank ownership and efficiency in China: what lies ahead in the world’s largest nation?
Allen N Berger, Iftekhar Hasan and Mingming Zhou
No. 15/2007: Financial fragility, macroeconomic shocks and banks’ loan losses: evidence from Europe
Published
Jarmo Pesola
No. 14/2007: Estimating a small DSGE model under rational and measured expectations: some comparisons
Maritta Paloviita
No. 13/2007: Portfolio effects and efficiency of lending under Basel II
Esa Jokivuolle and Timo Vesala
No. 12/2007: Integration of financial supervision
Helena Holopainen
No. 11/2007: Managers and efficiency in banking
Karlo Kauko
No. 10/2007: When do R&D subsidies boost innovation? Revisiting the inverted U-shape
Juha Kilponen and Torsten Santavirta
No. 9/2007: Adjustment of the US current account deficit
Mika Kortelainen
No. 8/2007: Discretion and the transmission lags of monetary policy
Juha Kilponen and Kai Leitemo
No. 7/2007: Multiple safety net regulators and agency problems in the EU: is Prompt Corrective Action a partial solution?
David G Mayes, Maria J Nieto and Larry Wall
No. 6/2007: Robust Taylor rules in an open economy with heterogeneous expectations and least squares learning
Mikael Bask and Carina Selander
No. 5/2007: Household loan loss risk in Finland – estimations and simulations with micro data
Risto Herrala and Karlo Kauko
No. 4/2007: Bank behaviour with access to credit risk transfer markets
Benedikt Goderis, Ian Marsh, Judit Vall Castello and Wolf Wagner
No. 3/2007: Why is Europe lagging behind?
Ilmo Pyyhtiä
No. 2/2007: A note on the national contributions to euro area M3
Aaron Mehrotra
No. 1/2007: Phoenix rising: Legal reforms and changes in valuations in Finland during the economic crisis
Timo Korkeamäki, Yrjö Koskinen and Tuomas Takalo
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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