Bank of Finland
Research Discussion Papers
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2013
- 6/2013 How have inflation dynamics changed over time? Evidence from the euro area and USA
by Oinonen, Sami & Paloviita, Maritta & Vilmi , Lauri - 5/2013 Sticky information models in Dynare
by Verona, Fabio & Wolters, Maik H. - 4/2013 (Un)anticipated monetary policy in a DSGE model with a shadow banking system
by Verona , Fabio & Martins, Manuel M. F. & Drumond , Inês - 3/2013 Unconventional government debt purchases as a supplement to conventional monetary policy
by Ellison , Martin & Tischbirek , Andreas - 2/2013 Market failures and the additionality effects of public support to private R&D: Theory and empirical implications
by Takalo, Tuomas & Tanayama , Tanja & Toivanen , Otto - 1/2013 Rationales and instruments for public innovation policies
by Takalo , Tuomas
2012
- 37/2012 Inflation and output growth uncertainty in individual survey expectations
by Paloviita, Maritta & Viren, Matti - 36/2012 The 1980s financial liberalization in the Nordic countries
by Honkapohja, Seppo - 35/2012 Real time uncertainty in fiscal planning and debt accumulation in the euro area
by Paloviita, Maritta - 34/2012 Fiscal planning and implementation: euro area analysis based on real time data
by Paloviita, Maritta - 33/2012 Forecasting with a noncausal VAR model
by Nyberg , Henri & Saikkonen, Pentti - 32/2012 Competition before sunset: The case of the Finnish ATM market
by Kopsakangas-Savolainen, Maria & Takalo, Tuomas - 31/2012 Home preference at selecting financial advisors in cross-border M&As
by Francis, Bill B. & Hasan, Iftekhar & Sun , Xian - 30/2012 Careful price level targeting
by Waters , George A. - 29/2012 How can growth be accelerated in Europe?
by Viren , Matti - 28/2012 Does relationship matter? The choice of financial advisors
by Francis, Bill B. & Hasan, Iftekhar & Sun , Xian - 27/2012 Liquidity traps and expectation dynamics: Fiscal stimulus or fiscal austerity?
by Benhabib , Jess & Evans, George W. & Honkapohja, Seppo - 26/2012 More than connectedness – Heterogeneity of CEO social network and firm value
by Fang, Yiwei & Francis , Bill & Hasan, Iftekhar - 25/2012 Welfare cost of business cycles in economies with individual consumption risk
by Ellison, Martin & Sargent, Thomas J. - 24/2012 Valuation of innovation: The case of iPhone
by Korkeamäki, Timo & Takalo, Tuomas - 23/2012 Interest rates and business cycles in emerging economies: The role of financial frictions
by Fernández, Andrés & Gulan, Adam - 22/2012 Sovereign risk, European crisis resolution policies and bond yields
by Kilponen , Juha & Laakkonen, Helinä & Vilmunen, Jouko - 21/2012 Household optimism and borrowing
by Hyytinen, Ari & Putkuri, Hanna - 20/2012 Entrepreneurial optimism and survival
by Hyytinen , Ari & Lahtonen, Jukka & Pajarinen, Mika - 19/2012 Retail payments and economic growth
by Hasan, Iftekhar & De Renzis, Tania & Schmiedel , Heiko - 18/2012 Bank regulations and income inequality: Empirical evidence
by Delis, Manthos D. & Hasan, Iftekhar & Kazakis , Pantelis - 17/2012 Urban agglomeration and CEO compensation
by Francis, Bill & Hasan, Iftekhar & John, Kose & Waisman , Maya - 16/2012 What determines bank stock price synchronicity? Global evidence
by Francis , Bill & Hasan, Iftekhar & Song, Liang & Yeung , Bernard - 15/2012 Predicting rating changes for banks: How accurate are accounting and stock market indicators?
by Distinguin, Isabelle & Hasan, Iftekhar & Tarazi , Amine - 14/2012 Corporate boards and bank loan contracting
by Francis, Bill & Hasan, Iftekhar & Koetter, Michael & Wu, Qiang - 13/2012 Asymmetric benchmarking in bank credit rating
by Shen, Chung-Hua & Huang , Yu-Li & Hasan , Iftekhar - 12/2012 Are firm- and country-specific governance substitutes? Evidence from financial contracts in emerging markets
by Francis, Bill & Hasan, Iftekhar & Song, Liang - 11/2012 Do corporate boards affect firm performance? New evidence from the financial crisis
by Francis, Bill & Hasan , Iftekhar & Wu , Qiang - 10/2012 Learning by disinflating
by Barnett, Alina & Ellison, Martin - 9/2012 Optimal bank transparency
by Moreno, Diego & Takalo , Tuomas - 8/2012 Information acquisition during a Dutch auction
by Miettinen, Paavo - 7/2012 Signaling asset price bubbles with time-series methods
by Taipalus , Katja - 6/2012 Why is price discovery in credit default swap markets news-specific?
by Marsh, Ian W. & Wagner , Wolf - 5/2012 Fiscal policy and learning
by Mitra, Kaushik & Evans, George W. & Honkapohja , Seppo - 4/2012 Why is equity capital expensive for opaque banks?
by Kauko, Karlo - 3/2012 Quantity rationing of credit
by Waters , George A. - 2/2012 Expectations-driven cycles in the housing market
by Lambertini, Luisa & Mendicino , Caterina & Punzi , Maria Teresa - 1/2012 Housing market and current account imbalances in the international economy
by Punzi, Maria Teresa
2011
- 24/2011 Owner-occupied housing as an investment, regional house price cycles and residential sorting
by Haavio, Markus & Kauppi , Heikki - 23/2011 Combining liquidity usage and interest rates on overnight loans: an oversight indicator
by Laine, Tatu & Nummelin, Tuomas & Snellman, Heli - 22/2011 Policy change and learning in the RBC model
by Mitra , Kaushik & Evans , George W. & Honkapohja , Seppo - 21/2011 Real time analysis of euro area fiscal policies: adjustment to the crisis
by Paloviita, Maritta & Kinnunen, Helvi - 20/2011 Subordinated debt, market discipline, and bank risk
by Chen , Yehning & Hasan, Iftekhar - 19/2011 Leverage and growth: effect of stock options
by Francis, Bill & Hasan , Iftekhar & Sharma, Zenu - 18/2011 The impact of CFO gender on bank loan contracting
by Francis, Bill & Hasan, Iftekhar & Wu, Qiang - 17/2011 Incentives and innovation: evidence from CEO compensation contracts
by Francis, Bill & Hasan, Iftekhar & Sharma, Zenu - 16/2011 The role of labour markets in fiscal policy transmission
by Obstbaum, Meri - 15/2011 Limited asset market participation: does it really matter for monetary policy?
by Ascari, Guido & Colciago , Andrea & Rossi, Lorenza - 14/2011 Descriptive analysis of Finnish equity, bond and money market returns
by Nyberg, Peter & Vaihekoski, Mika - 13/2011 The great moderation under the microscope: decomposition of macroeconomic cycles in US and UK aggregate demand
by Crowley , Patrick M & Hughes Hallett, Andrew - 12/2011 Endogenous market structures and labour market dynamics
by Colciago , Andrea & Rossi, Lorenza - 11/2011 Does housing allowance feed through into rental prices?
by Viren, Matti - 10/2011 Leverage ratio requirement, credit allocation and bank stability
by Kiema , Ilkka & Jokivuolle, Esa - 9/2011 Growth, expectations and tariffs
by Honkapohja , Seppo & Turunen, Arja H & Woodland, Alan D - 8/2011 Learning as a rational foundation for macroeconomics and finance
by Evans, George W & Honkapohja, Seppo - 7/2011 Market reforms, legal changes and bank risk-taking – evidence from transition economies
by Fang , Yiwei & Hasan, Iftekhar & Marton, Katherin - 6/2011 The euro and corporate financing
by Bris, Arturo & Koskinen, Yrjö & Nilsson, Mattias - 5/2011 Bank efficiency in transition economies: recent evidence from South-Eastern Europe
by Fang, Yiwei & Hasan, Iftekhar & Marton, Katherin - 4/2011 Product market relationships and cost of bank loans: evidence from strategic alliances
by Fang, Yiwei & Francis , Bill & Hasan , Iftekhar & Wang, Haizhi - 3/2011 Debit card interchange fees generally lead to cash-promoting cross-subsidisation
by Leinonen, Harry - 2/2011 What explains risk premia in crude oil futures?
by Melolinna, Marko - 1/2011 Financial factors in the boom-bust episode in Finland in the late 1980s and early 1990s
by Freystätter, Hanna
2010
- 22/2010 Moral hazard in the credit market when the collateral value is stochastic
by Niinimäki, Juha-Pekka - 21/2010 Effect of finance on growth through more efficient utilization of technological innovations
by Ikonen, Pasi - 20/2010 Central bank liquidity operations during the financial market and economic crisis: observations, thoughts and questions
by Pikkarainen, Pentti - 19/2010 Realized volatility and overnight returns
by Ahoniemi, Katja & Lanne, Markku - 18/2010 The effect of openness in a small open monetary union
by Orjasniemi, Seppo - 17/2010 Credit allocation, capital requirements and output
by Jokivuolle, Esa & Kiema, Ilkka & Vesala, Timo - 16/2010 A new approach to analyzing convergence and synchronicity in growth and business cycles: cross recurrence plots and quantification analysis
by Crowley, Patrick M & Schultz, Aaron - 15/2010 Credit constraints and durable consumption
by Herrala, Risto - 14/2010 The feasibility of through-the-cycle ratings
by Kauko, Karlo - 13/2010 Does Ricardian Equivalence hold when expectations are not rational?
by Evans , George W & Honkapohja , Seppo & Mitra, Kaushik - 12/2010 New evidence on implicit contracts from linked employer-employee data
by Kilponen, Juha & Santavirta, Torsten - 11/2010 Stock market conditions and monetary policy in an DSGE model for the US
by Castelnuovo , Efrem & Nisticò, Salvatore - 10/2010 Housing loan rate margins in Finland
by Putkuri, Hanna - 9/2010 Risk-based classification of financial instruments in the Finnish statutory pension scheme TyEL
by Tanskanen , Antti J & Niininen , Petri & Vatanen, Kari - 8/2010 Simultaneous monetary policy announcements and international stock markets response: an intraday analysis
by Hussain, Syed Mujahid - 7/2010 Information acquisition during a Dutch auction
by Miettinen, Paavo - 6/2010 Long cycles in growth: explorations using new frequency domain techniques with US data
by Crowley, Patrick M - 5/2010 Financial market disturbances as sources of business cycle fluctuations in Finland
by Freystätter, Hanna - 4/2010 Cross-border bank M&As and risk: evidence from the bond market
by Choi , Sungho & Francis , Bill B & Hasan, Iftekhar - 3/2010 Return from retail banking and payments
by Hasan , Iftekhar & Schmiedel , Heiko & Song, Liang - 2/2010 Growth strategies and value creation: what works best for stock exchanges?
by Hasan, Iftekhar & Schmiedel, Heiko & Song, Liang - 1/2010 Law and stock markets: evidence from an emerging market
by Korkeamäki, Timo & Rainio, Elina & Takalo, Tuomas
2009
- 36/2009 Bank relationships and firms’ financial performance: the Italian experience
by Castelli , Annalisa & Dwyer, Gerald P & Hasan, Iftekhar - 35/2009 Financial crises and bank failures: a review of prediction methods
by Demyanyk , Yuliya & Hasan, Iftekhar - 34/2009 The determinants of option-adjusted delta credit spreads: a comparative analysis of the United States, the United Kingdom and the euro area
by Becchetti , Leonardo & Carpentieri , Andrea & Hasan, Iftekhar - 33/2009 An analysis of the embedded frequency content of macroeconomic indicators and their counterparts using the Hilbert-Huang transform
by Crowley, Patrick M & Schildt, Tony - 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
by Crowley, Patrick M - 31/2009 The quality of monetary policy and inflation performance: globalization and its aftermath
by Bohl , Martin T & Mayes , David G & Siklos, Pierre L - 30/2009 Monetary policy, inflation expectations and the price puzzle
by Castelnuovo, Efrem & Surico, Paolo - 29/2009 Bank safety under Basel II capital requirements
by Vauhkonen, Jukka - 28/2009 Export pricing and the cross-country correlation of stock prices
by Tervala, Juha - 27/2009 Inferring market power from retail deposit interest rates in the euro area
by Vajanne, Laura - 26/2009 Transmission of macro shocks to loan losses in a deep crisis: the case of Finland
by Jokivuolle, Esa & Viren , Matti & Vähämaa, Oskari - 25/2009 Risk-adjusted measures of value creation in financial institutions
by Milne, Alistair & Onorato, Mario - 24/2009 Expectations, deflation traps and macroeconomic policy
by Evans , George W & Honkapohja, Seppo - 23/2009 Credit allocation, capital requirements and procyclicality
by Jokivuolle, Esa & Kiema, Ilkka & Vesala, Timo - 22/2009 Does State Street lead to Europe? The case of financial exchange innovations
by Komulainen, Mari & Takalo, Tuomas - 21/2009 A new value-weighted total return index for the Finnish stock market
by Nyberg , Peter & Vaihekoski, Mika - 20/2009 Testing the structural interpretation of the price puzzle with a cost channel model
by Castelnuovo, Efrem - 19/2009 Screening in the credit market when the collateral value is stochastic
by Niinimäki, Juha-Pekka - 18/2009 Noncausal vector autoregression
by Lanne, Markku & Saikkonen, Pentti - 17/2009 Early intervention and prompt corrective action in Europe
by Mayes, David G - 16/2009 Blanket guarantee and restructuring decisions for multinational banks in a bargaining model
by Niinimäki, Juha-Pekka & Mälkönen, Ville - 15/2009 Productivity and job flows: Heterogeneity of new hires and continuing jobs in the business cycle
by Kilponen , Juha & Vanhala, Juuso - 14/2009 House price fluctuations and residential sorting
by Haavio, Markus & Kauppi, Heikki - 13/2009 Regional growth and finance in Europe: Is there a quality effect of bank efficiency?
by Hasan, Iftekhar & Koetter , Michael & Wedow, Michael - 12/2009 Do markup dynamics reflect fundamentals or changes in conduct?
by Juselius , Mikael & Kim, Moshe & Ringbom, Staffan - 11/2009 Evaluating the stresses from ECB monetary policy in the euro area
by Lee , Jim & Crowley, Patrick M - 10/2009 Credit crunch? An empirical test of cyclical credit policy
by Herrala, Risto - 9/2009 Euler consumption equation with non-separable preferences over consumption and leisure and collateral constraints
by Kilponen, Juha - 8/2009 Public infrastructures, public consumption and welfare in a new open economy macro model
by Ganelli , Giovanni & Tervala, Juha - 7/2009 Political connections and the process of going public: evidence from China
by Francis , Bill B & Hasan, Iftekhar & Sun, Xian - 6/2009 Financial interlinkages and risk of contagion in the Finnish interbank market
by Toivanen, Mervi - 5/2009 The 1990’s financial crises in Nordic countries
by Honkapohja, Seppo - 4/2009 New small firms and dimensions of economic performance
by Shaffer , Sherrill & Hasan , Iftekhar & Zhou, Mingming - 3/2009 Effects of unobserved defaults on correlation between probability of default and loss given default on mortgage loans
by Palmroos, Peter - 2/2009 The bank lending channel reconsidered
by Milne , Alistair & Wood, Geoffrey - 1/2009 Corporate social responsibility and shareholder's value: an empirical analysis
by Becchetti , Leonardo & Ciciretti , Rocco & Hasan, Iftekhar
2008
- 30/2008 Shattered on the Rock? British financial stability from 1866 to 2007
by Milne , Alistair & Wood, Geoffrey - 29/2008 Central bank institutional structure and effective central banking: cross-country empirical evidence
by Hasan , Iftekhar & Mester, Loretta - 28/2008 Population ageing and fiscal sustainability in Finland: a stochastic analysis
by Lassila , Jukka & Valkonen, Tarmo - 27/2008 Bank competition and collateral: theory and evidence
by Hainz , Christa & Weill , Laurent & Godlewski, Christophe - 26/2008 The co-movements along the forward curve of natural gas futures: a structural view
by Spargoli, Fabrizio & Zagaglia, Paolo - 25/2008 A continuous-time model of the term structure of interest rates with fiscal-monetary policy interactions
by Marzo, Massimiliano & Romagnoli, Silvia & Zagaglia, Paolo - 24/2008 Determinacy of interest rate rules with bond transaction services in a cashless economy
by Marzo, Massimiliano & Zagaglia, Paolo - 23/2008 Money-market segmentation in the Euro area: what has changed during the turmoil?
by Zagaglia, Paolo - 22/2008 Integrating European retail payment systems: some economics of SEPA
by Kemppainen, Kari - 21/2008 Government funds and demographic transition – alleviating ageing costs in a small open economy
by Kinnunen, Helvi - 20/2008 Estimating regime-switching Taylor rules with trend inflation
by Castelnuovo, Efrem & Greco, Luciano & Raggi, Davide - 19/2008 Adverse selection and financing of innovation: is there a need for R&D subsidies?
by Takalo, Tuomas & Tanayama, Tanja - 18/2008 History of finance research and education in Finland: The first thirty years
by Vaihekoski, Mika - 17/2008 Macro-model-based stress testing of Basel II capital requirements
by Jokivuolle, Esa & Virolainen, Kimmo & Vähämaa, Oskari - 16/2008 Estimating open economy Phillips curves for the euro area with directly measured expectations
by Paloviita, Maritta - 15/2008 Investment-cash flow sensitivities, credit rationing and financing constraints
by Becchetti, Leonardo & Castelli, Annalisa & Hasan, Iftekhar - 14/2008 Does hedging tell the full story? Reconciling differences in US aggregate and industry-level exchange rate risk premia
by Francis, Bill B & Hasan, Iftekhar & Hunter, Delroy M - 13/2008 Why do growth rates differ? Evidence from cross-country data on private sector production
by Kilponen, Juha & Viren, Matti - 12/2008 Bank runs, liquidity and credit risk
by Topi, Jukka - 11/2008 Efficiency and costs of payments: some new evidence from Finland
by Takala, Kari & Viren, Matti - 10/2008 The signalling hypothesis revisited: Evidence from foreign IPOs
by Francis, Bill B & Hasan, Iftekhar & Lothian, James R & Sun, Xian - 9/2008 Using financial markets information to identify oil supply shocks in a restricted VAR
by Melolinna, Marko - 8/2008 On the importance of borrowing constraints for house price dynamics
by Eerola, Essi & Määttänen, Niku - 7/2008 Evaluating innovation policy: a structural treatment effect model of R&D subsidies
by Takalo, Tuomas & Tanayama, Tanja & Toivanen, Otto - 6/2008 Cointegration implications of linear rational expectation models
by Juselius, Mikael - 5/2008 Along but beyond mean-variance: Utility maximization in a semimartingale model
by Huhtala, Heli - 4/2008 Market power and merger simulation in retail banking
by Molnár, József - 3/2008 One Money, Several Cycles? Evaluation of European business cycles using model-based cluster analysis
by Crowley, Patrick - 2/2008 Consumer awareness and the use of payment media: evidence from young Finnish consumers
by Hyytinen, Ari & Takalo, Tuomas - 1/2008 Regulatory choices in global financial markets – restoring the role of aggregate utility in the shaping of market supervision
by Granlund, Peik
2007
- 33/2007 The lending channel under optimal choice of monetary policy
by Kilponen , Juha & Milne, Alistair - 32/2007 Expectations, learning and monetary policy: an overview of recent research
by Evans , George W & Honkapohja, Seppo - 31/2007 Robust learning stability with operational monetary policy rules
by Evans , George W & Honkapohja, Seppo - 30/2007 What determines commercial banks’ demand for reserves in the interbank market
by Kempa, Michal - 29/2007 The international transmission of monetary policy in a dollar pricing model
by Tervala, Juha - 28/2007 ‘Some unpleasant fiscal arithmetic’: the role of monetary and fiscal policy in public debt dynamics since the 1970s
by Hasko, Harri - 27/2007 Integration in euro area retail banking markets – convergence of credit interest rates
by Vajanne, Laura - 26/2007 GDP at risk in a DSGE model: an application to banking sector stress testing
by Jokivuolle, Esa & Kilponen , Juha & Kuusi, Tero - 25/2007 A case for interest rate smoothing
by Bask, Mikael - 24/2007 Optimal monetary policy in a hybrid New Keynesian model with a cost channel
by Bask, Mikael - 23/2007 Exchange rate volatility, macro announcements and the choice of intraday seasonality filtering method
by Laakkonen, Helinä - 22/2007 Instrument rules in monetary policy under heterogeneity in currency trade
by Bask, Mikael - 21/2007 Optimal monetary policy under heterogeneity in currency trade
by Bask, Mikael - 20/2007 Measuring potential market risk
by Bask, Mikael - 19/2007 Long swings and chaos in the exchange rate in a DSGE model with a Taylor rule
by Bask, Mikael - 18/2007 Monetary policy, expected inflation and inflation risk premia
by Ravenna , Federico & Seppälä, Juha - 17/2007 Pre-emptive horizontal mergers: theory and evidence
by Molnar, Jozsef - 16/2007 Bank ownership and efficiency in China: what lies ahead in the world’s largest nation?
by Berger , Allen N & Hasan , Iftekhar & Zhou, Mingming - 15/2007 Financial fragility, macroeconomic shocks and banks’ loan losses: evidence from Europe
by Pesola, Jarmo - 14/2007 Estimating a small DSGE model under rational and measured expectations: some comparisons
by Paloviita, Maritta - 13/2007 Portfolio effects and efficiency of lending under Basel II
by Jokivuolle , Esa & Vesala, Timo - 12/2007 Integration of financial supervision
by Holopainen, Helena - 11/2007 Managers and efficiency in banking
by Kauko, Karlo - 10/2007 When do R&D subsidies boost innovation? Revisiting the inverted U-shape
by Kilponen , Juha & Santavirta, Torsten - 9/2007 Adjustment of the US current account deficit
by Kortelainen, Mika - 8/2007 Discretion and the transmission lags of monetary policy
by Kilponen, Juha & Leitemo, Kai - 7/2007 Multiple safety net regulators and agency problems in the EU: is Prompt Corrective Action a partial solution?
by Mayes, David G & Nieto, Maria J & Wall , Larry - 6/2007 Robust Taylor rules in an open economy with heterogeneous expectations and least squares learning
by Bask, Mikael & Selander, Carina - 5/2007 Household loan loss risk in Finland – estimations and simulations with micro data
by Herrala, Risto & Kauko, Karlo - 4/2007 Bank behaviour with access to credit risk transfer markets
by Goderis, Benedikt & Marsh, Ian & Vall Castello , Judit & Wagner, Wolf - 3/2007 Why is Europe lagging behind?
by Pyyhtiä, Ilmo - 2/2007 A note on the national contributions to euro area M3
by Mehrotra, Aaron - 1/2007 Phoenix rising: Legal reforms and changes in valuations in Finland during the economic crisis
by Korkeamäki, Timo & Koskinen, Yrjö & Takalo, Tuomas
2006
- 32/2006 Finnish consumers' expectations on developments and changes in payment habits. Survey in connection with the research project 'Finnish payment habits 2010'
by Dahlberg, Tomi & Öörni, Anssi - 31/2006 The effect of lenders’ credit risk transfer activities on borrowing firms’ equity returns
by Marsh , Ian W - 30/2006 The importance of attractive prices in pricing dynamics
by Aalto-Setälä , Ville & Schindler, Robert - 29/2006 A global house price bubble? Evaluation based on a new rent-price approach
by Taipalus , Katja - 28/2006 Population ageing in a small open economy – some policy experiments with a tractable general equilibrium model
by Kilponen , Juha & Kinnunen , Helvi & Ripatti , Antti - 27/2006 Rating targeting and the confidence levels implicit in bank capital
by Jokivuolle , Esa & Peura , Samu - 26/2006 The adverse selection problem in imperfectly competitive credit markets
by Mälkönen , Ville & Vesala , Timo - 25/2006 Monetary policy and rejections of the expectations hypothesis
by Ravenna , Federico & Seppälä , Juha - 24/2006 Financial market integration and the value of global diversification: evidence from US acquirers in cross-border mergers and acquisitions
by Francis , Bill B & Hasan , Iftekhar & Sun , Xian - 23/2006 The use of loan loss provisions for capital management, earnings management and signalling by Australian banks
by Anandarajan , Asokan & Hasan , Iftekhar & McCarthy , Cornelia - 22/2006 Forecasting market crashes: further international evidence
by Jokipii, Terhi - 21/2006 ATM networks and cash usage
by Snellman , Heli & Virén , Matti

