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Domestic banks as lightning rods? Home bias and information during Eurozone crisis
(05.02.2019)
Bank of Finland Research Discussion Papers 3/2019
Bank of Finland Research Discussion Papers 3/2019
European banks have been criticized for holding excessive domestic government debt during economic downturns, which may have intensified the diabolic loop between sovereign and bank credit risks. By using a novel bank-level ...
International propagation of financial shocks in a search and matching environment
(25.11.2016)
Bank of Finland Research Discussion Papers 28/2016
Bank of Finland Research Discussion Papers 28/2016
This paper develops a two-country model in which transmission of financial shocks arises despite a flexible exchange rate regime and substitutable financial assets, contrary to the open-economy literature results under ...
Risks in China’s financial system
(17.01.2018)
BOFIT Discussion Papers 1/2018
BOFIT Discussion Papers 1/2018
Motivated by growing concerns about the risks and instability of China’s financial system, this article reviews several commonly perceived financial risks and discusses their roots in China’s politico-economic institutions. ...
The credit risk of Chinese households : A micro-level assessment
(07.05.2018)
BOFIT Discussion Papers 12/2018
BOFIT Discussion Papers 12/2018
Household borrowing in China has increased considerably in recent years, raising concerns about the household sector’s vulnerability and implications for the stability of the financial system. We construct a number of ...
Financial shocks, financial stability, and optimal Taylor rules
(26.08.2014)
Bank of Finland Research Discussion Papers 21/2014
Bank of Finland Research Discussion Papers 21/2014
We assess the performance of optimal Taylor-type interest rate rules, with and without reaction to financial variables, in stabilizing an economy following financial shocks. The analysis is conducted in a DSGE model with ...
Varjoja Kiinan rahoitusmarkkinoilla
(24.02.2014)
Suomen Pankki. Blogi
Suomen Pankki. Blogi
Tilanne Kiinan rahoitusmarkkinoilla oli kiinalaisen uudenvuoden alla tammikuun lopussa jännittynyt. Osaltaan ylimääräinen jännitys johtui juuri uudenvuoden takia kasvaneesta käteisrahan tarpeesta,
minkä pelättiin kiristävän ...
Makrovakausraportti 2/2016
(21.12.2016)
Suomen Pankin ja Finanssivalvonnan makrovakausraportti 2/2016
Suomen Pankin ja Finanssivalvonnan makrovakausraportti 2/2016
Who gains from credit granted between firms? Evidence from inter-corporate loan announcements made in China
(17.01.2015)
BOFIT Discussion Papers 1/2015
BOFIT Discussion Papers 1/2015
Who gains from inter-corporate credit? To answer this question we investigate the reactions of the stock prices of both the issuing and receiving firms to the announcements of 719 inter-corporate loans that took place ...
Banking globalization, local lending, and labor market effects : Micro-level evidence from Brazil
(14.06.2017)
BOFIT Discussion Papers 11/2017
BOFIT Discussion Papers 11/2017
This paper estimates the effect of a foreign funding shock to banks in Brazil after the collapse of Lehman Brothers in September 2008. Our robust results show that bank-specic shocks to Brazilian parent banks negatively ...
Monetary Financial Institutions ; Annual Review 2014
(20.03.2015)
Monetary Financial Institutions Annual Review
Monetary Financial Institutions Annual Review
The Monetary Financial Institutions – Annual Review focuses on statistics on Finnish monetary financial institutions (MFIs) and investment funds registered in Finland over the previous year. The publication covers loans ...