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Content
2024
- 14/2024 Enhancing forecast accuracy through frequencydomain combination: Applications to financial and economic indicators
by Faria, Gonçalo & Verona, Fabio
- 13/2024 Average inflation targeting in Calvo model with imperfect knowledge and learning
by Honkapohja, Seppo & McClung, Nigel
- 12/2024 Monetary policy announcements and sacrifice ratios
by Ambrocio, Gene & Haavio, Markus & McClung, Nigel
- 11/2024 Exchange rate narratives
by Cormun, Vito & Ristolainen, Kim
- 10/2024 Unlocking predictive potential: the frequency-domain approach to equity premium forecasting
by Faria, Gonçalo & Verona, Fabio
- 9/2024 Robust design of countercyclical capital buffer rules
by Hecker, Dominik & Jang, Hun & Rubio, Margarita & Verona, Fabio
- 8/2024 Media tone: The role of news and social media on heterogeneous inflation expectations
by Heikkinen, Joni & Heimonen, Kari
- 7/2024 Central bank collateral policy and credit pricing: Evidence from Finland
by Paavola, Aleksi & Voutilainen, Ville
- 6/2024 Reading between the lines: Uncovering asymmetry in the central bank loss function
by Haavio, Markus & Heikkinen, Joni & Jalasjoki, Pirkka & Kilponen, Juha & Paloviita, Maritta & Vänni, Ilona
- 5/2024 Resolving new keynesian puzzles
by Eskelinen, Maria & Gibbs, Christopher G. & McClung, Nigel
- 4/2024 The bias of the ECB inflation projections: A State-dependent analysis
by Granziera, Eleonora & Jalasjoki, Pirkka & Paloviita, Maritta
- 3/2024 Stress test precision and bank competition
by Moreno, Diego & Takalo, Tuomas
- 2/2024 Can growth stabilize debt? A fiscal theory perspective
by Elfsbacka-Schmöller, Michaela & McClung, Nigel
- 1/2024 Global political ties and the global financial cycle
by Ambrocio, Gene & Hasan, Iftekhar & Li, Xiang
2023
- 16/2023 Demographic aging and the New Keynesian Phillips Curve
by Ambrocio, Gene
- 15/2023 Optimal carbon leakage
by Hokkanen, Topi
- 14/2023 Sustainability and private investors
by Buchanan, Bonnie & Silvola, Hanna & Vähämaa, Emilia
- 13/2023 Assessing targeted longer-term refinancing operations: Identification through search intensity
by Laine, Olli-Matti & Nelimarkka, Jaakko
- 12/2023 Monetary policy rules: model uncertainty meets design limits
by Dück, Alexander & Verona, Fabio
- 11/2023 Monetary policy transmission below zero
by Fungáécová, Zuzana & Kerola, Eeva & Laine, Olli-Matti
- 10/2023 Identifying money and inflation expectation shocks on real oil prices
by Benk, Szilárd & Gillman, Max
- 9/2023 Cognitive constraints and economic incentives
by D'Acunto, Francesco & Hoang, Daniel & Paloviita, Maritta & Weber, Michael
- 8/2023 News or animal spirits? Consumer confidence and economic activity: Redux
by Choi, Sangyyup & Jeong, Jaehun & Park, Dohyeon & Yoo, Donghoon
- 7/2023 Climate-related disclosure commitment of the lenders, credit rationing, and borrower environmental performance
by Hasan, Iftekhar & Lee, Haekwon & Qiu, Buhui & Saunders, Anthony
- 6/2023 The transmission of negative nominal interest rates in Finland
by Kwan, Simon H. & Ulate, Mauricio & Voutilainen, Ville
- 5/2023 Long-term debt propagation and real reversals
by Drehmann, Mathias & Juselius, Mikael & Korinek, Anton
- 4/2023 Lone (loan) wolf pack risk
by Gao, Mingze & Hasan, Iftekhar & Qiu, Buhui & Wu, Eliza
- 3/2023 Asymmetric effects of conventional and unconventional monetary policy when rates are low
by Laine, Olli-Matti & Pihlajamaa, Matias
- 2/2023 Who funds zombie firms: Banks or non-banks?
by Tuuli, Saara
- 1/2023 Forecast combination in the frequency domain
by Faria, Gonçalo & Verona, Fabio
2022
- 15/2022 Money, e-money and consumer welfare
by Carli, Francesco & Uras, Burak
- 14/2022 Banking market deregulation and mortality inequality
by Hasan, Iftekhar & Krause, Thomas & Manfredonia, Stefano & Noth, Felix
- 13/2022 Endogenous technology, scarring and fiscal policy
by Schmöller, Michaela
- 12/2022 The scarring effects of deep contractions
by Aikman, David & Drehmann, Mathias & Juselius, Mikael & Xing, Xiaochuan
- 11/2022 Bond convenience curves and funding costs
by Nissinen, Juuso & Sihvonen, Markus
- 10/2022 Belief polarization and Covid-19
by Ambrocio, Gene & Hasan, Iftekhar
- 9/2022 Growing like Germany: Local public debt, local banks, low private investment
by Hoffmann, Mathias & Stewen, Iryna & Stiefel, Michael
- 8/2022 Public funding of banks and firms in a time of crisis
by Haavio, Markus & Ripatti, Antti & Takalo, Tuomas
- 7/2022 What should the inflation target be? Views from 600 economists
by Ambrocio, Gene & Ferrero, Andrea & Jokivuolle, Esa & Ristolainen, Kim
- 6/2022 Lower for longer under endogenous technology growth
by Elfsbacka Schmöller, Michaela & Spitzer, Martin
- 5/2022 Inflationary household uncertainty shocks
by Ambrocio, Gene
- 4/2022 When uncertainty decouples expected and unexpected losses
by Juselius, Mikael & Tarashev, Nikola A.
- 3/2022 Monetary policy and inequality: The Finnish case
by Mäki-Fränti, Petri & Silvo, Aino & Gulan, Adam & Kilponen, Juha
- 2/2022 Welfare effects of R&D support policies
by Takalo, Tuomas & Tanayama, Tanja & Toivanen, Otto
- 1/2022 Covid-19 pandemic, state aid and firm productivity
by Bighelli, Tommaso & Lalinsky, Tibor & Vanhala, Juuso
2021
- 16/2021 Evaluating the US pharmaceutical patent policy
by Izhak, Olena & Saxell, Tanja & Takalo, Tuomas
- 15/2021 Yield curve momentum
by Sihvonen, Markus
- 14/2021 Determinacy and E-stability with interest rate rules at the zero lower bound
by Eo, Yunjong & McClung, Nigel
- 13/2021 Why does risk matter more in recessions than in expansions?
by Andreasen, Martin Møller & Caggiano, Giovanni & Castelnuovo, Efrem & Pellegrino, Giovanni
- 12/2021 Human frictions in the transmission of economic policy
by D'Acunto, Francesco & Hoang, Daniel & Paloviita, Maritta & Weber, Michael
- 11/2021 Forward guidance with unanchored expectations
by Eusepi, Stefano & Gibbs, Chris & Preston, Bruce
- 10/2021 Medium- vs. short-term consumer inflation expectations: Evidence from a new euro area survey
by Stanisławska, Ewa & Paloviita, Maritta
- 9/2021 Revisiting intertemporal elasticity of substitution in a sticky price model
by Kilponen, Juha & Vilmunen, Jouko & Vähämaa, Oskari
- 8/2021 Inflation dynamics and forecast: Frequency matters
by Martins, Manuel Mota Freitas & Verona, Fabio
- 7/2021 The bias and efficiency of the ECB inflation projections: A state dependent analysis
by Granziera, Eleonora & Jalasjoki, Pirkka & Paloviita, Maritta
- 6/2021 On robustness of average inflation targeting
by Honkapohja, Seppo & McClung, Nigel
- 5/2021 Monetary policy rules and the effective lower bound in the Euro area
by Haavio, Markus & Laine, Olli-Matti
- 4/2021 Euro area business confidence and Covid-19
by Ambrocio, Gene
- 3/2021 Precision of public information disclosures, banks' stability and welfare
by Moreno, Diego & Takalo, Tuomas
- 2/2021 Investor monitoring, money-likeness and stability of money market funds
by Järvenpää, Maija & Paavola, Aleksi
- 1/2021 Global uncertainty
by Caggiano, Giovanni & Castelnuovo, Efrem
2020
- 18/2020 Forecasting expected and unexpected losses
by Juselius, Mikael & Tarashev, Nikola A.
- 17/2020 Effective policy communication: Targets versus instruments
by D'Acunto, Francesco & Hoang, Daniel & Paloviita, Maritta & Weber, Michael
- 16/2020 Monetary policy and stock market valuation
by Laine, Olli-Matti
- 15/2020 Staged equity financing
by Blomkvist, Magnus & Korkeamaki, Timo P. & Takalo, Tuomas
- 14/2020 Bank instability: Interbank linkages and the role of disclosure
by König-Kersting, Christian & Trautmann, Stefan T. & Vlahu, Razvan
- 13/2020 Are fiscal multipliers estimated with proxy-SVARs robust?
by Angelini, Giovanni & Caggiano, Giovanni & Castelnuovo, Efrem & Fanelli, Luca
- 12/2020 Reading between the lines: Using text analysis to estimate the loss function of the ECB
by Paloviita, Maritta & Haavio, Markus & Jalasjoki, Pirkka & Kilponen, Juha & Vänni, Ilona
- 11/2020 The global effects of Covid-19-induced uncertainty
by Caggiano, Giovanni & Castelnuovo, Efrem & Kima, Richard
- 10/2020 Are bank capital requirements optimally set? Evidence from researchers' views
by Ambrocio, Gene & Hasan, Iftekhar & Jokivuolle, Esa & Ristolainen, Kim
- 9/2020 The Aino 3.0 model
by Silvo, Aino & Verona, Fabio
- 8/2020 The life and death of zombies: Evidence from government subsidies to firms
by Nurmi, Satu & Vanhala, Juuso & Virén, Matti E. E.
- 7/2020 Bonds, currencies and expectational errors
by Granziera, Eleonora & Sihvonen, Markus
- 6/2020 Time-frequency forecast of the equity premium
by Faria, Gonçalo & Verona, Fabio
- 5/2020 Inflationary household uncertainty shocks
by Ambrocio, Gene
- 4/2020 Forecasting inflation with the New Keynesian Phillips curve: Frequency matters
by Martins, Manuel Mota Freitas & Verona, Fabio
- 3/2020 The effects of conventional and unconventional monetary policy: Identification through the yield curve
by Kortela, Tomi & Nelimarkka, Jaakko
- 2/2020 Frequency-domain information for active portfolio management
by Faria, Gonçalo & Verona, Fabio
- 1/2020 Firm turnover in the export market and the case for fixed exchange rate regime
by Hamano, Masashige & Pappadà, Francesco
2019
- 25/2019 Welfare gains of bailouts in a sovereign default model
by Pancrazi, Roberto & Seoane, Hernán D. & Vukotic, Marija
- 24/2019 Are flexible working hours helpful in stabilizing unemployment?
by Kolasa, Marcin & Rubaszek, Michał & Walerych, Małgorzata
- 23/2019 The evolution of US and UK GDP components in the time-frequency domain: A continuous wavelet analysis
by Crowley, Patrick M. & Hughes Hallett, Andrew
- 22/2019 Has banks' monitoring of other banks strengthened post-crisis? Evidence from the European overnight market
by Tölö, Eero & Jokivuolle, Esa & Viren, Matti
- 21/2019 Endogenous TFP, business cycle persistence and the productivity slowdown
by Schmöller, Michaela & Spitzer, Martin
- 20/2019 Do we really know that U.S. monetary policy was destabilizing in the 1970s?
by Haque, Qazi & Groshenny, Nicolas & Weder, Mark
- 19/2019 Does my model predict a forward guidance puzzle?
by Gibbs, Christopher G. & McClung, Nigel
- 19/2019 Does my model predict a forward guidance puzzle?
by Gibbs, Christopher G. & McClung, Nigel
- 18/2019 Biased beliefs, costly external finance, and firm behavior: A Unified theory
by Li, Delong & Lu, Lei & Mu, Congming & Yang, Jinqiang
- 17/2019 Measuring household uncertainty in EU countries
by Ambrocio, Gene
- 16/2019 State dependence of monetary policy across business, credit and interest rate cycles
by Alpanda, Sami & Granziera, Eleonora & Zubairy, Sarah
- 15/2019 Switching costs in the Finnish retail deposit market
by Takalo, Tuomas
- 14/2019 Predicting systemic financial crises with recurrent neural networks
by Tölö, Eero
- 13/2019 Friends for the benefits: The effects of political ties on sovereign borrowing conditions
by Ambrocio, Gene & Hasan, Iftekhar
- 12/2019 The Phillips Curve at 60: time for time and frequency
by Aguiar-Conraria, Luís & Martins, Manuel M. F. & Soares, Maria Joana
- 11/2019 U.S. Macroeconomic Policy Evaluation in an Open Economy Context using Wavelet Decomposed Optimal Control Methods
by Crowley, Patrick M. & Hudgins, David
- 10/2019 Assessing reliability of aggregated inflation views in the European Commission consumer survey
by Stanisławska, Ewa & Paloviita, Maritta & Łyziak, Tomasz
- 9/2019 Can large trade shocks cause crises? The case of the Finnish-Soviet trade collapse
by Gulan, Adam & Haavio, Markus & Kilponen, Juha
- 8/2019 Stagnant wages, sectoral misallocation and slowing productivity growth
by Schmöller, Michaela
- 7/2019 The effect of TLTRO-II on bank lending
by Laine, Olli-Matti
- 6/2019 On the long-run calibration of the credit-to-GDP gap as a banking crisis predictor
by Kauko, Karlo & Tölö, Eero
- 5/2019 Assessing U.S. aggregate fluctuations across time and frequencies
by Lubik, Thomas A. & Matthes, Christian & Verona, Fabio
- 4/2019 Model-based regulation and firms' access to finance
by Tuuli, Saara
- 3/2019 Domestic banks as lightning rods? Home bias and information during Eurozone crisis
by Saka, Orkun
- 2/2019 IQ, Expectations, and Choice
by D'Acunto, Francesco & Hoang, Daniel & Paloviita, Maritta & Weber, Michael
- 1/2019 Money growth and inflation: International historical evidence on high inflation episodes for developed countries
by Gallegati, Marco & Giri, Federico & Fratianni, Michele
2018
- 26/2018 Securitization and crash risk: Evidence from large European banks
by Battaglia, Francesca & Buchanan, Bonnie G. & Fiordelisi, Franco & Ricci, Ornella
- 25/2018 How do shocks to bank capital affect lending and growth?
by Tölö, Eero & Miettinen, Paavo
- 24/2018 Effects of monetary policy decisions on professional forecasters' expectations and expectations uncertainty
by Oinonen, Sami & Paloviita, Maritta & Viren, Matti
- 23/2018 Predicting relative forecasting performance: An empirical investigation
by Granziera, Eleonora & Sekhposyan, Tatevik
- 22/2018 Paradise lost? A brief history of DSGE macroeconomics
by Gulan, Adam
- 21/2018 The power of forward guidance and the fiscal theory of the price level
by McClung, Nigel
- 20/2018 Intermediation in a directed search model
by Kultti, Klaus & Takalo, Tuomas & Vähämaa, Oskari
- 19/2018 Enforcement of banking regulation and the cost of borrowing
by Deli, Yota & Delis, Manthos D. & Hasan, Iftekhar & Liu, Liuling
- 18/2018 Democratic development and credit: "Democracy doesn't come cheap" But at least credit to its corporations will be
by Delis, Manthos D. & Hasan, Iftekhar & Ongena, Steven
- 17/2018 Private information and lender discretion across time and institutions
by Ambrocio, Gene & Hasan, Iftekhar
- 16/2018 Did the Basel process of capital regulation enhance the resiliency of European Banks?
by Gehrig, Thomas & Iannino, Maria Chiara
- 15/2018 Relative age effects in political selection
by Tukiainen, Janne & Takalo, Tuomas & Hulkkonen, Topi
- 14/2018 Inference in structural vector auto regressions when the identifying assumptions are not fully believed: Re-evaluating the role of monetary policy in economic fluctuations
by Baumeister, Christiane & Hamilton, James D.
- 13/2018 Testing the systemic risk differences in banks
by Jokivuolle, Esa & Tunaru, Radu & Vioto, Davide
- 12/2018 Measuring the effects of conventional and unconventional monetary policy in the euro area
by Anttila, Juho
- 11/2018 Getting better? The effect of the single supervisory mechanism on banks' loan loss reporting and loan loss reserves
by Ristolainen, Kim
- 10/2018 Going with the flows: New borrowing, debt service and the transmission of credit booms
by Drehmann, Mathias & Juselius, Mikael & Korinek, Anton
- 9/2018 Optimal monetary policy under bounded rationality
by Benchimol, Jonathan & Bounader, Lahcen
- 8/2018 The enduring link between demography and inflation
by Juselius, Mikael & Takáts, Előd
- 7/2018 The equity risk premium and the low frequency of the term spread
by Faria, Gonçalo & Verona, Fabio
- 6/2018 High trend inflation and passive monetary detours
by Ascari, Guido & Florio, Anna & Gobbi, Alessandro
- 5/2018 Price level targeting with evolving credibility
by Honkapohja, Seppo & Kaushik, Mitra
- 4/2018 Extreme events and optimal monetary policy
by Jinill, Kim & Ruge-Murcia, Francisco
- 3/2018 Price rigidities and the granular origins of aggregate fluctuations
by Pasten, Ernosto & Schoenle, Raphael & Weber, Michael
- 2/2018 Systematic risk, bank moral hazard, and bailouts
by Lucchetta, Marcella & Moretto, Michele & Parigi, Bruno M.
- 1/2018 Asymmetric information and the distribution of trading volume
by Lof, Matthijs & Bommel, Jos van
- 1/2018 Asymmetric information and the distribution of trading volume
by Lof, Matthijs & Bommel, Jos van
2017
- 37/2017 The real effects of overconfidence and fundamental uncertainty shocks
by Ambrocio, Gene
- 37/2017 The real effects of overconfidence and fundamental uncertainty shocks
by Ambrocio, Gene
- 36/2017 Why so low for so long? A long-term view of real interest rates
by Borio, Claudio & Disyatat, Piti & Juselius, Mikael & Rungcharoenkitkul, Phurichai
- 35/2017 Uncertainty across volatility regimes
by Angelini, Giovanni & Bacchiocchi, Emanuele & Caggiano, Giovanni & Fanelli, Luca
- 34/2017 Uncertainty shocks and firm dynamics: Search and monitoring in the credit market
by Brand, Thomas & Isoré, Marlène & Tripier, Fabien
- 33/2017 Worker separation under performance pay: Empirical evidence from Finland
by Jones, Derek C. & Kalmi, Panu & Kato, Takao & Mäkinen, Mikko
- 32/2017 Modelling a small open economy using a wavelet-based control model
by Hudgins, David & Crowley, Patrick M.
- 31/2017 On corporate borrowing, credit spreads and economic activity in emerging economies: An empirical investigation
by Caballero, Julián & Fernández, Andrés
- 30/2017 Welfare effects of R&D support policies
by Takalo, Tuomas & Tanayama, Tanja & Toivanen, Otto
- 29/2017 What does "below, but close to, two percent" mean? Assessing the ECB's reaction function with real time data
by Paloviita, Maritta & Haavio, Markus & Jalasjoki, Pirkka & Kilponen, Juha
- 28/2017 Business cycle synchronisation in a currency union: Taking stock of the evidence
by Campos, Nauro F. & Jarko, Fidrmuc & Iikka, Korhonen
- 27/2017 Monopoly without a monopolist: An economic analysis of the bitcoin payment system
by Huberman, Gur & Leshno, Jacob D. & Moallemi, Ciamac
- 26/2017 Q, investment, and the financial cycle
by Verona, Fabio
- 25/2017 Why does portfolio choice correlate across generations?
by Knüpfer, Samuli & Rantapuska, Elias & Sarvimäki, Matti
- 24/2017 Enforceability of non-complete agreements: When does state stifle productivity?
by Anand, Smriti & Hasan, Iftekhar & Sharma, Priyanka & Wang, Haizhi
- 23/2017 Real effects of bank capital regulations: Global evidence
by Deli, Yota D. & Hasan, Iftekhar
- 22/2017 On the effect of business and economic university education on political ideology: An empirical note
by Delis, Manthos D. & Hasan, Iftekhar & Iosifidi, Maria
- 21/2017 Does social capital matter in corporate decisions? Evidence from corporate tax avoidance
by Hasan, Iftekhar & Hoi, Chun-Keung (Stan) & Wu, Qiang & Zhang, Hao
- 20/2017 Efficiency and dependency in a network of linked permit markets
by Itkonen, Juha
- 19/2017 Secrecy, information shocks, and corporate investment: Evidence from European Union countries
by Mazboudi, Mohamad & Hasan, Iftekhar
- 18/2017 The risk-taking channel of monetary policy in the US: Evidence from corporate loan data
by Delis, Manthos D. & Hasan, Iftekhar & Mylonidis, Nikolaos
- 17/2017 The impacts of intellectual property rights protection on cross-border M&As
by Hasan, Iftekhar & Khalil, Fahad & Sun, Xian
- 16/2017 Do managerial risk-taking incentives influence firms' exchange rate exposure?
by Francis, Bill B. & Hasan, Iftekhar & Hunter, Delroy M. & Zhu, Yun
- 15/2017 On moral hazard and persistent private information
by Vasama, Suvi
- 14/2017 Contracting with long-term consequences
by Vasama, Suvi
- 13/2017 Formation of inflation expectations in turbulent times: Can ECB manage inflation expectations of professional forecasters?
by Łyziak, Tomasz & Paloviita, Maritta
- 12/2017 Accounting for debt service: The painful legacy of credit booms
by Drehmann, Mathias & Juselius, Mikael & Korinek, Anton
- 11/2017 Wavelet decomposition of the financial cycle: An early warning system for financial tsunamis
by Voutilainen, Ville
- 10/2017 Should bank capital requirements be less risk-sensitive because of credit constraints?
by Ambrocio, Gene & Jokivuolle, Esa
- 9/2017 Controlling inflation with switching monetary and fiscal policies: expectations, fiscal guidance and timid regime changes
by Ascari, Guido & Florio, Anna & Gobbi, Alessandro
- 8/2017 Uncertainty and monetary policy in good and bad times
by Caggiano, Giovanni & Castelnuovo, Efrem & Nodari, Gabriela
- 7/2017 High-skilled migration and agglomeration
by Pekkala Kerr, Sari & Kerr, William & Özden, Çağlar & Parsons, Christopher
- 6/2017 Estimating the real effects of uncertainty shocks at the zero lower bound
by Caggiano, Giovanni & Castelnuovo, Efrem & Pellegrino, Giovanni
- 5/2017 Information acquisition during a descending price auction with asymmetrically informed players
by Miettinen, Paavo
- 4/2017 House prices, lending standards, and the macroeconomy
by Silvo, Aino
- 3/2017 Global collaborative patents
by Pekkala Kerr, Sari & Kerr, William R.
- 2/2017 Global talent flows
by Pekkala Kerr, Sari & Kerr, William & Özden, Çağlar & Parsons, Christopher
- 1/2017 Forecasting the equity risk premium with frequency-decomposed predictors
by Faria, Gonçalo & Verona, Fabio
2016
- 33/2016 Immigrant entrepreneurship
by Pekkala Kerr, Sari & Kerr, William R.
- 32/2016 Testing the Q theory of investment in the frequency domain
by Kilponen, Juha & Verona, Fabio
- 31/2016 Securitization: a financing vehicle for all seasons?
by Buchanan, Bonnie G.
- 30/2016 Learning from financial crisis: the experience of Nordic banks
by Berglund, Tom & Mäkinen, Mikko
- 29/2016 Forecasting stock market returns by summing the frequency-decomposed parts
by Faria, Gonçalo & Verona, Fabio
- 28/2016 International propagation of financial shocks in a search and matching environment
by Isoré, Marlène
- 27/2016 Use of unit root methods in early warning of financial crises
by Virtanen, Timo & Tölö, Eero & Virén, Matti & Taipalus, Katja
- 26/2016 The effect of foreign institutional ownership on corporate tax avoidance: international evidence
by Hasan, Iftekhar & Kim, Incheol & Teng, Haimeng & Wu, Qiang
- 25/2016 Expectations, stagnation and fiscal policy
by Evans, George W. & Honkapohja, Seppo & Mitra, Kaushik
- 24/2016 Monetary policy, the financial cycle and ultralow interest rates
by Juselius, Mikael & Borio, Claudio & Disyatat, Piti & Drehmann, Mathias
- 23/2016 Bank enforcement actions and the terms of lending
by Deli, Yota & Delis, Manthos D. & Hasan, Iftekhar & Liu, Liuling
- 22/2016 Bond finance, bank credit, and aggregate fluctuations in an open economy
by Chang, Roberto & Fernández, Andrés & Gulan, Adam
- 21/2016 Analysis of the balance between U.S. monetary and fiscal policy using simulated wavelet-based optimal tracking control
by Crowley, Patrick M. & Hudgins, David
- 20/2016 Exhange rate linkages between the Asean currencies, the US dollar and the Chinese RMB
by Caporale, Guglielmo Maria & Gil-Alana, Luis A. & You, Kefei
- 19/2016 A shadow rate model with time-varying lower bound of interest rates
by Kortela, Tomi
- 18/2016 Macroprudential measures and housing markets: a note on the empirical literature
by Eerola, Essi
- 17/2016 How to explain errors in budget balance forecasts in euro area countries? Empirical evidence based on real-time data
by Paloviita, Maritta & Ikonen, Pasi
- 16/2016 The Aino 2.0 model
by Kilponen, Juha & Orjasniemi, Seppo & Ripatti, Antti & Verona, Fabio
- 15/2016 How informative are aggregated inflation expectations? Evidence from the ECB Survey of Professional Forecasters
by Oinonen, Sami & Paloviita, Maritta
- 14/2016 Time-frequency characterization of the U.S. financial cycle
by Verona, Fabio
- 13/2016 Debt structure when bankruptcy law offers incentives to restructure
by Hasan, Iftekhar & John, Kose & Kadiyalad, Padma
- 12/2016 Saving Wall Street or main street
by Haavio, Markus & Ripatti, Antti & Takalo, Tuomas
- 11/2016 Uncertainty and firm dividend policy – a natural experiment
by Buchanan, Bonnie & Cao, Xuying (Cathy) & Liljeblom, Eva & Weihrich, Susan
- 10/2016 How large banks use CDS to manage risks: bank-firm-level evidence
by Hasan, Iftekhar & Wu, Deming
- 9/2016 Credit default swaps and bank loan sales: evidence from bank syndicated lending
by Hasan, Iftekhar & Wu, Deming
- 8/2016 When do peers matter? A cross-country perspective
by Francis, Bill B. & Hasan, Iftekhar & Kostova, Gergana L.
- 7/2016 Corporate social responsibility and firm financial performance: the mediating role of productivity
by Hasan, Iftekhar & Kobeissi, Nada & Liu, Liuling & Wang, Haizhi
- 6/2016 Relative peer quality and firm performance
by Francis, Bill & Hasan, Iftekhar & Mani, Sureshbabu & Ye, Pengfei
- 5/2016 CEO political preference and corporate tax sheltering
by Francis, Bill B. & Hasan, Iftekhar & Sun, Xian & Wu, Qiang