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. 35/2013: Financial and economic downturns in OECD countries
Markus Haavio, Caterina Mendicino and Maria Teresa Punzi
No. 34/2013: Assessing the exchange rate exposure of US multinationals
Patrick Crowley and Amir Habibdoust
No. 33/2013: Is Europe growing together or growing apart?
Patrick Crowley, Enrique Garcia and Chee-Heong Quah
No. 32/2013: Welfare and bond pricing implications of fiscal stabilization policies
Kai Christoffel, Ivan Jaccard and Juha Kilponen
No. 31/2013: Income inequality and social preferences for redistribution and compensation differentials
Published
William R. Kerr
No. 30/2013: Labor regulations and European venture capital
Published
Ant Bozkaya and William R. Kerr
No. 29/2013: Managerial style and bank loan contracting
Bill B. Francis, Iftekhar Hasan and Yun Zhu
No. 28/2013: Growth through heterogeneous innovations
Ufuk Akcigit and William R. Kerr
No. 27/2013: The impact of political uncertainty on institutional ownership
Bill B. Francis, Iftekhar Hasan and Yun Zhu
No. 26/2013: Testing for a unit root in noncausal autoregressive models
Pentti Saikkonen and Rickard Sandberg
No. 25/2013: 99.9% – really?
Ilkka Kiema and Esa Jokivuolle
No. 24/2013: On optimal emission control – Taxes, substitution and business cycles
Jussi Lintunen and Lauri Vilmi
No. 23/2013: What types of bondholders impede corporate innovative activities?
Iftekhar Hasan, Jonathan O’Brien and Pengfei Ye
No. 22/2013: Innovation, reallocation and growth
Daron Acemoglu, Ufuk Akcigit, Nicholas Bloom and William Kerr
No. 21/2013: Central bank liquidity auction mechanism design and the interbank market
Kimmo Ollikka and Janne Tukiainen
No. 20/2013: Midas, transmuting all, into paper: The Bank of England and the Banque de France during the Revolutionary and Napoleonic Wars
Jagjit S. Chadha and Elisa Newby
No. 19/2013: Contagion in the interbank network: An epidemiological approach
Mervi Toivanen
No. 18/2013: Investment dynamics with information costs
Published
Fabio Verona
No. 17/2013: Closed form solution of correlation in doubly truncated or censored sample of bivariate log-normal distribution
Jouko Vilmunen and Peter Palmroos
No. 16/2013: Lumpy investment in sticky information general equilibrium
Fabio Verona
No. 15/2013: The government’s role in government-owned banks
Chung-Hua Shen, Iftekhar Hasan and Chih-Yung Lin
No. 14/2013: Efficiency and stock returns: Evidence from the insurance industry
Chrysovalantis Gaganis, Iftekhar Hasan and Fotios Pasiouras
No. 13/2013: The cost of sin: The effect of social norms on audit pricing
Published
Stergios Leventis, Iftekhar Hasan and Emmanouil Dedoulis
No. 12/2013: The euro crisis: a view from the North
Published
Seppo Honkapohja
No. 11/2013: Sensitivity of fiscal-policy effects to policy coordination and business cycle conditions
Forthcoming
Matti Viren
No. 10/2013: In search of concepts: The effects of speculative demand on returns and volume
Owain ap Gwilym, Qingwei Wang, Iftekhar Hasan and Ru Xie
No. 9/2013: Estimating intertemporal elasticity of substitution in a sticky price model
Juha Kilponen, Jouko Vilmunen and Oskari Vähämaa
No. 8/2013: The benefits of conservative accounting to shareholders: Evidence from the financial crisis
Bill Francis, Iftekhar Hasan and Qiang Wu
No. 7/2013: Should competition policy in banking be amended during crises? Lessons from the EU
Forthcoming
Iftekhar Hasan and Matej Marinc
No. 6/2013: How have inflation dynamics changed over time? Evidence from the euro area and USA
Sami Oinonen, Maritta Paloviita and Lauri Vilmi
No. 5/2013: Sticky information models in Dynare
Forthcoming
Fabio Verona and Maik H. Wolters
No. 4/2013: (Un)anticipated monetary policy in a DSGE model with a shadow banking system
Published
Fabio Verona, Manuel M. F. Martins and Inês Drumond
No. 3/2013: Unconventional government debt purchases as a supplement to conventional monetary policy
Martin Ellison and Andreas Tischbirek
No. 2/2013: Market failures and the additionality effects of public support to private R&D: Theory and empirical implications
Published
Tuomas Takalo, Tanja Tanayama and Otto Toivanen
No. 1/2013: Rationales and instruments for public innovation policies
Published
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
Download statistics for the working paper
series and
S-WoPEc
Questions (including download problems) about the papers in this series should be directed to Minna Nyman ()
Report other problems with accessing this service to Sune Karlsson ()
or Helena Lundin ().
Programing by
Design by Joachim Ekebom