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Year of publication
Subject
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China 333 Russia 295 Russland 154 Economic transition 53 Systemtransformation 53 Geldpolitik 50 Monetary policy 50 Bank 49 Eastern Europe 48 Osteuropa 44 Welt 44 World 44 transition 43 Bank lending 41 Kreditgeschäft 40 Exchange rate 39 transition economies 39 Economic growth 38 Wechselkurs 38 Wirtschaftswachstum 36 Financial crisis 33 Finanzkrise 32 Estimation 31 Schätzung 31 Emerging economies 30 Schwellenländer 29 monetary policy 28 VAR model 24 VAR-Modell 24 Kaufkraftparität 22 Purchasing power parity 22 growth 22 Auslandsinvestition 21 Foreign investment 21 Hong Kong 21 Theorie 21 Theory 21 United States 21 inflation 21 Impact assessment 20
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Online availability
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Free 1,234
Type of publication
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Book / Working Paper 1,499
Type of publication (narrower categories)
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Working Paper 1,095 Arbeitspapier 540 Graue Literatur 539 Non-commercial literature 539 Rezension 1 Systematic review 1 Übersichtsarbeit 1
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Language
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English 1,390 Undetermined 109
Author
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Weill, Laurent 115 Funke, Michael 113 Korhonen, Iikka 85 Hasan, Iftekhar 54 Fungáčová, Zuzana 52 Mehrotra, Aaron 48 Solanko, Laura 46 Fidrmuc, Jarko 39 Schoors, Koen 38 Wachtel, Paul 31 Ponomarenko, Alexey 30 Pyle, William 30 Égert, Balázs 28 Cheung, Yin-Wong 22 Mehrotra, Aaron N. 21 Pirttilä, Jukka 20 Tsang, Andrew 20 Goel, Rajeev K. 18 Karas, Alexei 18 Kim, Byung-Yeon 18 Koivu, Tuuli 18 He, Qing 17 Juurikkala, Tuuli 17 Nuutilainen, Riikka 17 Zhou, Mingming 17 Bonin, John 16 Godlewski, Christophe J. 16 Herrala, Risto 16 Chen, Yu-Fu 15 Pessarossi, Pierre 15 Paetz, Michael 14 Siklos, Pierre L. 14 Pääkkönen, Jenni 13 Sánchez-Fung, José R. 13 Haaparanta, Pertti 12 Kerola, Eeva 12 Komulainen, Tuomas 12 Peresetsky, Anatoly 12 Sarajevs, Vadims 12 Degryse, Hans 11
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Institution
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Siirtymätalouksien tutkimuslaitos, Suomen Pankki 368 Suomen Pankki Siirtymätalouksien Tutkimuslaitos 2
Published in...
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BOFIT Discussion Papers 923 BOFIT discussion papers 575 State-business relations and access to external financing, BOFIT Discussion Papers 1
Source
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ECONIS (ZBW) 576 EconStor 555 RePEc 368
Showing 101 - 110 of 1,499
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Financial policymaking after crises : public vs. private interests
Saka, Orkun; Ji, Yuemei; De Grauwe, Paul - 2021
We first present a simple model of post-crisis policymaking driven by both public and private interests. Using a novel dataset covering 94 countries between 1973 and 2015, we then establish that financial crises can lead to government interventions in financial markets. Consistent with a public...
Persistent link: https://www.econbiz.de/10012589326
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Bank risk-taking and monetary policy transmission : evidence from China
Li, Xiaoming; Liu, Zheng; Peng, Yuchao; Xu, Zhiwei - 2021
We study the impact of China's 2013 implementation of Basel III on bank risk-taking and its responses to monetary policy shocks using confidential loan-level data from a large Chinese bank. Guided by theory, we use a difference-in-difference identification, exploiting cross-sectional differences...
Persistent link: https://www.econbiz.de/10012665291
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City commercial banks and credit allocation : firm-level evidence
Kang, Shulong; Dong, Jianfeng; Yu, Haiyue; Cao, Jin; … - 2021
This paper investigates how government-led banking liberalization affects credit allocation by banks using as a quasi-natural experiment the establishment of city commercial banks (CCBs) in China. Based on more than three million corporate financial statements spanning over 16 years, we find...
Persistent link: https://www.econbiz.de/10012485371
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Does a financial crisis change a bank's exposure to risk? : a difference-in-differences approach
Mäkinen, Mikko - 2021
Can a major financial crisis trigger changes in a bank's risk-taking behavior? Using the 2008 Global Financial Crisis as a quasi-natural experiment and a difference-in-differences approach, I examine whether the worst crisis-hit Russian banks - the banks that have strong incentives to...
Persistent link: https://www.econbiz.de/10012522990
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Exchange rate fluctuations and the financial channel in emerging economies
Beckmann, Joscha; Comunale, Mariarosaria - 2021
This paper assesses the financial channel of exchange rate fluctuations for emerging countries and the link to the conventional trade channel. We analyze whether the effective exchange rate affects GDP growth, the domestic credit and the global liquidity measure as the credit in foreign...
Persistent link: https://www.econbiz.de/10012607883
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Managerial and financial barriers to the net-zero transition
Haas, Ralph de; Martin, Ralf; Muûls, Mirabelle; … - 2021
We use data on 11,233 firms across 22 emerging markets to analyze how credit constraints and low-quality firm management inhibit corporate investment in green technologies. For identification we exploit quasi-exogenous variation in local credit conditions and in exposure to weather shocks. Our...
Persistent link: https://www.econbiz.de/10012515575
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Who cares : deciphering China's female employment paradox
Yu, Haiyue; Cao, Jin; Kang, Shulong - 2021
Female post-childbirth labor market participation and labor intensity are extraordinarily high in China, given that public childcare subsidies are limited and supportive policies for childbearing female employees are largely absent. Establishing a panel dataset that tracks female employment and...
Persistent link: https://www.econbiz.de/10012515581
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The effect of the China Connect
Ma, Chang; Rogers, John H.; Zhou, Sili - 2020
We document the effect on Chinese firms of the Shanghai (Shenzhen)-Hong Kong Stock Connect. The Connect was an important capital account liberalization introduced in the mid-2010s. It created a channel for cross-border equity investments into a selected set of Chinese stocks while China's...
Persistent link: https://www.econbiz.de/10012614223
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The vanishing interest income of Chinese banks
Kauko, Karlo - 2020
Chinese banks likely have more non-performing loans (NPLs) than officially reported. As hidden NPLs earn no interest income, loan quality problems may erode the gross interest income of banks. Using stochastic frontier analysis, we estimate the interest income of a hypothetical...
Persistent link: https://www.econbiz.de/10012614224
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Keeping up with the Novaks? Income distribution as a determinant of household debt in CESEE
Hake, Mariya; Poyntner, Philipp - 2020
This paper constitutes an initial attempt to shed light on the role of income distribution in household debt and financial market access in Central, Eastern and Southeastern Europe (CESEE). Using household-level data from the OeNB's Euro Survey for the period 2009-2018, we address the question...
Persistent link: https://www.econbiz.de/10012614225
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