Selaus JEL-luokituksen mukaan Suomen Pankki
Viitteet 1-11 / 11
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A large Bayesian vector autoregression model for Russia
Bank of Finland
BOFIT Discussion Papers : 22/2014
(04.12.2014) -
An adaptive approach to forecasting three key macroeconomic variables for transitional China
Bank of Finland
BOFIT Discussion Papers : 12/2015
(10.04.2015) -
Cash management and payment choices: a simulation model with international comparisons
Simulointimalli käteisen hallinnan ja maksutavan valinnan analysointia ja kansainvälistä vertailua varten
Bank of Finland
Bank of Finland Research Discussion Papers : 22/2015
(22.11.2015) -
Constructing a composite indicator to assess cyclical systemic risks : An early warning approach
Bank of Finland
BoF Economics Review : 3/2024
(02.04.2024) -
Could corporate credit losses turn out higher than expected?
Bank of Finland
BoF Economics Review : 3/2021
(18.08.2021) -
Determinacy and E-stability with interest rate rules at the zero lower bound
Bank of Finland
Bank of Finland Research Discussion Papers : 14/2021
(15.11.2021) -
Household loan loss risk in Finland : estimations and simulations with micro data
Suomen Pankki
Bank of Finland Research Discussion Papers : 5/2007
(05.02.2007) -
Money as an indicator variable for monetary policy when money demand is forward looking
Suomen Pankki
Bank of Finland Research Discussion Papers : 9/2003
(09.04.2003) -
Neo-Fisherian monetary policy
Bank of Finland
BoF Economics Review : 2/2017
(01.08.2017) -
Quantiles of growth : household debt and growth vulnerabilities in Finland
Bank of Finland
BoF Economics Review : 2/2021
(27.05.2021) -
Yield curve momentum
Bank of Finland
Bank of Finland Research Discussion Papers : 15/2021
(16.11.2021)