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. 36/2009: Bank relationships and firms’ financial performance: the Italian experience
Annalisa Castelli, Gerald P Dwyer and Iftekhar Hasan
No. 35/2009: Financial crises and bank failures: a review of prediction methods
Yuliya Demyanyk and Iftekhar Hasan
No. 34/2009: The determinants of option-adjusted delta credit spreads: a comparative analysis of the United States, the United Kingdom and the euro area
Leonardo Becchetti, Andrea Carpentieri and Iftekhar Hasan
No. 33/2009: An analysis of the embedded frequency content of macroeconomic indicators and their counterparts using the Hilbert-Huang transform
Patrick M Crowley and Tony Schildt
No. 32/2009: How do you make a time series sing like a choir? Using the Hilbert-Huang transform to extract embedded frequencies from economic or financial time series
Patrick M Crowley
No. 31/2009: The quality of monetary policy and inflation performance: globalization and its aftermath
Martin T Bohl, David G Mayes and Pierre L Siklos
No. 30/2009: Monetary policy, inflation expectations and the price puzzle
Published
Efrem Castelnuovo and Paolo Surico
No. 29/2009: Bank safety under Basel II capital requirements
Jukka Vauhkonen
No. 28/2009: Export pricing and the cross-country correlation of stock prices
Published
Juha Tervala
No. 27/2009: Inferring market power from retail deposit interest rates in the euro area
Laura Vajanne
No. 26/2009: Transmission of macro shocks to loan losses in a deep crisis: the case of Finland
Esa Jokivuolle, Matti Viren and Oskari Vähämaa
No. 25/2009: Risk-adjusted measures of value creation in financial institutions
Alistair Milne and Mario Onorato
No. 24/2009: Expectations, deflation traps and macroeconomic policy
George W Evans and Seppo Honkapohja
No. 23/2009: Credit allocation, capital requirements and procyclicality
Esa Jokivuolle, Ilkka Kiema and Timo Vesala
No. 22/2009: Does State Street lead to Europe? The case of financial exchange innovations
Published
Mari Komulainen and Tuomas Takalo
No. 21/2009: A new value-weighted total return index for the Finnish stock market
Published
Peter Nyberg and Mika Vaihekoski
No. 20/2009: Testing the structural interpretation of the price puzzle with a cost channel model
Forthcoming
Efrem Castelnuovo
No. 19/2009: Screening in the credit market when the collateral value is stochastic
Juha-Pekka Niinimäki
No. 18/2009: Noncausal vector autoregression
Markku Lanne and Pentti Saikkonen
No. 17/2009: Early intervention and prompt corrective action in Europe
David G Mayes
No. 16/2009: Blanket guarantee and restructuring decisions for multinational banks in a bargaining model
Juha-Pekka Niinimäki and Ville Mälkönen
No. 15/2009: Productivity and job flows: Heterogeneity of new hires and continuing jobs in the business cycle
Published
Juha Kilponen and Juuso Vanhala
No. 14/2009: House price fluctuations and residential sorting
Markus Haavio and Heikki Kauppi
No. 13/2009: Regional growth and finance in Europe: Is there a quality effect of bank efficiency?
Iftekhar Hasan, Michael Koetter and Michael Wedow
No. 12/2009: Do markup dynamics reflect fundamentals or changes in conduct?
Mikael Juselius, Moshe Kim and Staffan Ringbom
No. 11/2009: Evaluating the stresses from ECB monetary policy in the euro area
Jim Lee and Patrick M Crowley
No. 10/2009: Credit crunch? An empirical test of cyclical credit policy
Risto Herrala
No. 9/2009: Euler consumption equation with non-separable preferences over consumption and leisure and collateral constraints
Juha Kilponen
No. 8/2009: Public infrastructures, public consumption and welfare in a new open economy macro model
Giovanni Ganelli and Juha Tervala
No. 7/2009: Political connections and the process of going public: evidence from China
Bill B Francis, Iftekhar Hasan and Xian Sun
No. 6/2009: Financial interlinkages and risk of contagion in the Finnish interbank market
Mervi Toivanen
No. 5/2009: The 1990’s financial crises in Nordic countries
Seppo Honkapohja
No. 4/2009: New small firms and dimensions of economic performance
Published
Sherrill Shaffer, Iftekhar Hasan and Mingming Zhou
No. 3/2009: Effects of unobserved defaults on correlation between probability of default and loss given default on mortgage loans
Peter Palmroos
No. 2/2009: The bank lending channel reconsidered
Alistair Milne and Geoffrey Wood
No. 1/2009: Corporate social responsibility and shareholder's value: an empirical analysis
Leonardo Becchetti, Rocco Ciciretti and Iftekhar Hasan
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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