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

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

Title Author(s)

China's Macroeconomic Imbalances: Causes and Consequences

Paper: 2011/15, 20.06.2011

Conditionality in Chinese bilateral lending

Paper: 2011/14, 20.06.2011

What drives urban consumption in mainland China? The role of property price dynamics

Paper: 2011/13, 20.06.2011

The Economic transmission of fiscal policy shocks from Western to Eastern Europe

Paper: 2011/12, 16.06.2011

The effect of foreign bank presence on firm entry and exit in transition economies

Paper: 2011/11, 16.06.2011

State-business relations in Russia in the 2000s: From the capture model to a variety of exchange models?

Paper: 2011/10, 16.06.2011

Flexible inflation targets, forex interventions and exchange rate volatility in emerging countries

Paper: 2011/09, 26.05.2011

China's economic growth engine: The likely types of hardware failure, software failure and power supply failure

Paper: 2011/08, 26.05.2011

Households' response to economic crisis

Paper: 2011/07, 06.05.2011

Do markets perceive sukuk and conventional bonds as different financing instruments?

Paper: 2011/06, 06.05.2011

Changing economic structures and impacts of shocks - evidence from a DSGE model for China

Paper: 2011/05, 28.04.2011

Financial settlement modes and corruption: Evidence from developed nations

Paper: 2011/04, 28.04.2011

Macro-financial vulnerabilities and future financial stress - Assessing systemic risks and predicting systemic events

Paper: 2011/02, 04.04.2011

The determinants of cross-border bank flows to emerging markets: New empirical evidence on the spread of financial crises

Paper: 2011/03, 04.04.2011

Comparing China's GDP Statistics with Coincident Indicators

Paper: 2011/01, 30.03.2011

Foreign bank lending and information asymmetries in China

Paper: 2010/20, 30.12.2010

What Can an Open-Economy DSGE Model Tell Us about Hong Kong’s Housing Market?

Paper: 2010/19, 22.11.2010

Monetary policy, asset prices and consumption in China

Paper: 2010/18, 05.11.2010

Bank capital, liquidity creation and deposit insurance

Paper: 2010/17, 05.11.2010

Stock market reaction to debt financing arrangements in Russia

Paper: 2010/16, 26.08.2010

JEL: G14, G20, P30

How helpful are spatial effects in forecasting the growth of Chinese provinces?

Paper: 2010/15, 18.08.2010

JEL: C21, C23, C53

Currency substitution in the economies of Central Asia: How much does it cost?

Paper: 2010/14, 29.07.2010

JEL: E41, E58, P2

Wealth effects and Russian money demand

Paper: 2010/13, 29.07.2010

JEL: E21, E41

Russian fiscal policy during the financial crisis

Paper: 2010/12, 29.07.2010

JEL: E62, H30, H60

The emergence and spatial distribution of Chinese seaport cities

Paper: 2010/11, 29.07.2010

JEL: R11, R12, R41

Does diversification increase or decrease bank risk and performance? Evidence on diversification and the risk-return tradeoff in banking

Paper: 2010/09, 29.07.2010

JEL: G21, G28, G34

The effect of deposit insurance on Market Disipline: Evidence from a natural experiment on deposit flows

Paper: 2010/08, 29.07.2010

JEL: E65, G21, G28, P34

China’s monetary policy and the exchange rate

Paper: 2010/10, 29.07.2010

JEL: E42, E52

Bi-currency versus Single-Currency Targeting: Lessons from the Russian Experience

Paper: 2010/07, 23.06.2010

JEL: F31, F33

Off-the-record target zones: Theory with an application to Hong Kong's currency board

Paper: 2010/06, 04.05.2010

The composition and interests of Russia’s business lobbies: A test of Olson’s “encompassing organization” hypothesis

Paper: 2010/05, 24.03.2010

Market power in the Russian banking industry

Paper: 2010/03, 24.03.2010

Do Islamic banks have greater market power?

Paper: 2010/02, 24.03.2010

The effects of focus versus diversification on bank performance: Evidence from Chinese banks

Paper: 2010/04, 24.03.2010

Bank cost efficiency in Kazakhstan and Russia

Paper: 2010/01, 26.02.2010

Russian banking: The state makes a comeback?

Paper: 2009/24, 19.01.2010

Determinants of bank interest margins in Russia: Does bank ownership matter?

Paper: 2009/22, 31.12.2009

JEL: G21, P34

Assessing McCallum and Taylor rules in a cross-section of emerging market economies

Paper: 2009/23, 31.12.2009

JEL: E52, E58, F41

A soft edge target zone model: Theory and application to Hong Kong

Paper: 2009/21, 31.12.2009

JEL: C61, E42, F31, F32

Stock return seasonalities and investor structure: Evidence from China's B-share markets

Paper: 2009/20, 30.10.2009

JEL: G12, G14, G18

Market Structure, Welfare, and Banking Reform in China

Paper: 2009/19, 21.10.2009

JEL: G21, L11

Evaluating inflation determinants with a money supply rule in four Central and Eastern European EU member states

Paper: 2009/18, 21.10.2009

JEL: C11, C22, E31, E52, O52

China as a regulatory state

Paper: 2009/17, 15.10.2009

JEL: D02, L25, P30

Firm behavior under production uncertainty: Evidence from Russia

Paper: 2009/16, 15.10.2009

Are there industrial and agricultural convergence clubs in China?

Paper: 2009/15, 09.10.2009

JEL: O17, O40, O57

Stock market wealth effects in an estimated DSGE model for Hong Kong

Paper: 2009/14, 09.10.2009

JEL: D91, E21, E44, F41

Renminbi misaligned - Results from meta-regressions

Paper: 2009/13, 10.09.2009

How market power influences bank failures: Evidence from Russia

Paper: 2009/12, 10.09.2009

The impact of the global financial crisis on business cycles in Asian emerging economies

Paper: 2009/11, 03.09.2009

Economic growth across Chinese provinces: in search of innovation-driven gains

Paper: 2009/10, 26.08.2009

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