Selaus JEL-luokituksen mukaan Suomen Pankki
Viitteet 1-20 / 48
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A Ten-year retrospection of the behavior of Russian stock returns
Bank of Finland
BOFIT Discussion Papers : 9/2005
(13.08.2005) -
Asymmetric information and the distribution of trading volume
Bank of Finland
Bank of Finland Research Discussion Papers : 1/2018
(22.01.2018) -
Can bubble theory foresee banking crises?
Journal of Financial Stability : June 2018
(21.02.2018) -
Comparing financial transparency between for-profit and nonprofit suppliers of public goods : Evidence from microfinance
Journal of International Financial Markets, Institutions and Money : January
(15.01.2020) -
Corporate Misconduct and the Cost of Private Debt : Evidence from China
Comparative Economic Studies : 3 ; September
(15.09.2019) -
Credit allocation, capital requirements and output
Bank of Finland
Bank of Finland Research Discussion Papers : 17/2010
(05.06.2010) -
Credit allocation, capital requirements and procyclicality
Bank of Finland
Bank of Finland Research Discussion Papers : 23/2009
(05.08.2009) -
Credit default swaps and bank loan sales: evidence from bank syndicated lending
Luottoriskinvaihtosopimukset ja pankkilainojen myynti: näyttöä syndikoitujen pankkilainojen aineistosta
Bank of Finland
Bank of Finland Research Discussion Papers : 9/2016
(28.04.2016) -
Do Banks' Overnight Borrowing Rates Lead Their CDS Price? Evidence from the Eurosystem
Journal of Financial Intermediation : July
(25.05.2017) -
Do the type of sukuk and choice of shari’a scholar matter?
Bank of Finland
BOFIT Discussion Papers : 21/2014
(03.12.2014) -
Does bilateral investment treaty arbitration have any value for multinational corporations?
Bank of Finland
BOFIT Discussion Papers : 10/2020
(22.04.2020) -
Does it pay to get connected? An examination of bank alliance network and bond spread
Journal of Economics and Business : January-February
(08.01.2018) -
Does the Type of Debt Matter? Stock Market Perception in Europe
Quarterly Review of Economics and Finance : February
(18.03.2020) -
Does the type of debt matter? Stock market perception in Europe
Velka kuin velka – vai mitä mieltä Euroopan osakemarkkinat ovat?
Bank of Finland
Bank of Finland Research Discussion Papers : 19/2015
(21.08.2015) -
Equilibrium in financial markets with adverse selection
Suomen Pankki
Bank of Finland Research Discussion Papers : 6/2003
(04.03.2003) -
Forecasting stock market returns by summing the frequency-decomposed parts
Journal of Empirical Finance : January 2018
(15.01.2018) -
Forecasting stock market returns by summing the frequency-decomposed parts
Osakemarkkinatuottojen ennustaminen taajuuskomponenttien summien avulla
Bank of Finland
Bank of Finland Research Discussion Papers : 29/2016
(28.11.2016) -
Global and regional links between stock markets - the case of Russia and China
Bank of Finland
BOFIT Discussion Papers : 4/2008
(17.04.2008) -
House prices, lending standards, and the macroeconomy
Asuntojen hinnat, luottoehdot ja makrotalous
Bank of Finland
Bank of Finland Research Discussion Papers : 4/2017
(26.01.2017) -
How large banks use CDS to manage risks: bank-firm-level evidence
Pankki- ja yritystason näyttö suurten pankkien tavasta käyttää luottoriskinvaihtosopimuksia riskienhallinnassa
Bank of Finland
Bank of Finland Research Discussion Papers : 10/2016
(29.04.2016)