Central Bank Research Hub - Series: Bank of Finland BOFIT Discussion Papers 2007

Papers by year: All | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004

Title Author(s)

Prolonged reserves accumulation, credit booms, asset prices and monetary policy in Asia

Paper: 2013/05, 04.04.2013

What determines stock market behavior in Russia and other emerging countries?

Paper: 2013/04, 15.03.2013

On the use of sterilisation bonds in emerging Asia

Paper: 2013/01, 06.02.2013

Does excessive liquidity creation trigger bank failures?

Paper: 2013/02, 06.02.2013

Business cycle convergence or decoupling? Economic adjustment in CESEE during the crisis

Paper: 2013/03, 06.02.2013

Is bank competition detrimental to efficiency? Evidence from China

Paper: 2012/31, 18.12.2012

JEL: D40, G21

Financial system reforms and China's monetary policy framework: A DSGE-based assessment of initiatives and proposals

Paper: 2012/30, 11.12.2012

Convertibility restriction in China's foreign exchange market and its impact on forward pricing

Paper: 2012/28, 30.11.2012

Credit conditions and firm investment: Evidence from the MENA region

Paper: 2012/29, 30.11.2012

Real-time warning signs of emerging and collapsing Chinese house price bubbles

Paper: 2012/27, 13.11.2012

The Determinants of Vulnerability to the Global Financial Crisis 2008 to 2009: Credit Growth and Other Sources of Risk

Paper: 2012/26, 02.11.2012

Modelling the impact of aggregate financial shocks external to the Chinese economy

Paper: 2012/25, 18.10.2012

Currency blocs in the 21st century

Paper: 2012/24, 15.10.2012

Is China climbing up the quality ladder?

Paper: 2012/23, 08.10.2012

Early warning indicators of asset price boom/bust cycles in emerging markets

Paper: 2012/22, 08.10.2012

Non-price competitiveness of exports from emerging countries

Paper: 2012/19, 24.09.2012

The rise of China and its implications for emerging markets - Evidence from a GVAR model

Paper: 2012/20, 24.09.2012

Does CEO turnover matter in China? Evidence from the stock market

Paper: 2012/21, 24.09.2012

Market and Non-Market Monetary Policy Tools in a Calibrated DSGE Model for Mainland China

Paper: 2012/16, 17.07.2012

JEL: E42, E52, E58

Predictive power of confidence indicators for the Russian economy

Paper: 2012/15, 12.07.2012

JEL: E37, P27

Are Chinese Trade Flows Different?

Paper: 2012/14, 15.06.2012

JEL: F14, F41

Measuring systemic funding liquidity risk in the Russian banking system

Paper: 2012/12, 12.06.2012

JEL: G21, G28, P29

The dynamics of catch-up and skill and technology upgrading in China

Paper: 2012/13, 12.06.2012

JEL: D90, O31, O33, O41

A DSGE-Based Assessment of Nonlinear Loan-to-Value Policies: Evidence from Hong Kong

Paper: 2012/11, 27.04.2012

JEL: C63, E21, E32, E69, F41

Government intervention and institutional trading strategy: Evidence from a transition country

Paper: 2012/09, 27.04.2012

JEL: G15, G18, G32

Does finance cause growth? Evidence from the origins of banking in Russia

Paper: 2012/10, 27.04.2012

JEL: F3, G2, O4, P3

A note on foreign bank entry and bank corporate governance in China

Paper: 2012/08, 27.04.2012

JEL: F23, G21, G28, G34

Why do large firms go for Islamic loans?

Paper: 2012/07, 13.04.2012

JEL: G21, G32, O16

Financial sector in resource-dependent economies

Paper: 2012/06, 22.03.2012

JEL: G20, O16, O57, Q32

Has the Chinese growth model changed? A view from the credit market

Paper: 2012/05, 22.03.2012

JEL: E44, G30, O16

Bank pricing under oligopsony-oligopoly: Evidence from 103 developing countries

Paper: 2012/01, 13.02.2012

De facto currency baskets of China and East Asian economies: The rising weights Bank

Paper: 2012/02, 13.02.2012

Bank stress tests as an information device for emerging markets: The case of Russia

Paper: 2012/03, 13.02.2012

Integration of Chinese and Russian stock markets with world markets: National and sectoral perspectives

Paper: 2012/04, 13.02.2012

Financial dollarization in Russia: causes and consequences

Paper: 2011/36, 02.01.2012

Tracking Chinese CPI inflation in real time

Paper: 2011/35, 22.12.2011

China's evolving reserve requirements

Paper: 2011/30, 16.12.2011

A 'de Soto Effect' in Industry? Evidence from the Russian Federation

Paper: 2011/33, 16.12.2011

Causes of Corruption in Russia: A Disaggregated Analysis

Paper: 2011/31, 16.12.2011

Like China, the Chinese banking sector is in a class of its own

Paper: 2011/32, 16.12.2011

The Influence of Bank Ownership on Credit Supply: Evidence from the Recent Financial Crisis

Paper: 2011/34, 16.12.2011

Choice of Corporate Debt in China: The Role of State Ownership

Paper: 2011/29, 08.11.2011

Save or borrow - what determines Russian households' financial strategies?

Paper: 2011/28, 04.11.2011

Explaining money demand in China during the transition from a centrally planned to a market-based monetary system

Paper: 2011/27, 25.10.2011

The ownership of industrial land in Russian cities: Explaining patterns of privatization across regions and firms

Paper: 2011/26, 20.10.2011

Exchange rate misalignment estimates - Sources of differences

Paper: 2011/25, 03.10.2011

Transfer of financial risk in emerging eastern European stock markets: A sectoral perspective

Paper: 2011/24, 03.10.2011

The role of state and creation of a market economy in Russia

Paper: 2011/23, 19.08.2011

Dual-track interest rates and the conduct of monetary policy in China

Paper: 2011/21, 18.08.2011

Exchange rate misalignments: A comparison of China today against recent historical experiences of Japan, Germany, Singapore and Taiwan

Paper: 2011/22, 18.08.2011

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