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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 531 - 540 of 1,499
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Evaluating underlying inflation measures for Russia
Deryugina, Elena; Ponomarenko, Alexey; Sinyakov, Andrey; … - 2015
​We apply several tests to the underlying inflation metrics used in practice by central banks and/or proposed in the scientific literature, in an attempt to find the best-performing indicators. We find that although there is no single best measure of underlying inflation, indicators calculated...
Persistent link: https://www.econbiz.de/10012148765
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The Ruble between the hammer and the anvil: Oil prices and economic sanctions
Dreger, Christian; Fidrmuc, Jarko; Kholodilin, Konstantin; … - 2015
The exchange rate fluctuations strongly affect the Russian economy, given its heavy dependence on foreign trade and investment. Since January 2014, the Ruble lost 50% of its value against the US Dollar. The fall of the currency started with the conflict between Russia and Ukraine. The impact of...
Persistent link: https://www.econbiz.de/10012148766
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Reserve requirements and the bank lending channel in China
Fungáčová, Zuzana; Nuutilainen, Riikka; Weill, Laurent - 2015
This paper examines how reserve requirements influence the transmission of monetary policy through the bank lending channel in China while also taking into account the role of bank ownership. The implementation of Chinese monetary policy is characterized by the reliance on the reserve...
Persistent link: https://www.econbiz.de/10012148767
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Could climate change affect government expenditures? Early evidence from the Russian regions
Leppänen, Simo; Solanko, Laura; Kosonen, Riitta - 2015
This paper explores the implications of climate change for government expenditures. Using a rich sub-national dataset for Russia covering 1995–2009, we estimate the impacts of changes in climatic conditions through short-term variation and medium-term changes in average regional temperatures...
Persistent link: https://www.econbiz.de/10012148768
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Current account and REER misalignments in Central Eastern EU countries: an update using the macroeconomic balance approach
Comunale, Mariarosaria - 2015
Using the IMF CGER methodology, we make an assessment of the current account and price competitiveness of the Central Eastern European Countries (CEEC) that joined the EU between 2004 and 2014. We present results for the "Macroeconomic Balance (MB)" approach, which provides a measure of current...
Persistent link: https://www.econbiz.de/10012148769
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Is China fudging its figures? Evidence from trading partner data
Fernald, John; Hsu, Eric; Spiegel, Mark M. - 2015
How reliable are China's GDP and other data? We address this question by using trading partner exports to China as an independent measure of its economic activity from 2000–2014. We find that the information content of Chinese GDP improves markedly after 2008.We also consider a number of...
Persistent link: https://www.econbiz.de/10012148770
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Expected returns and idiosyncratic risk: Industry-level evidence from Russia
Kinnunen, Jyri; Martikainen, Minna - 2015
​In this paper, we explore a relation between expected returns and idiosyncratic risk. As in many emerging markets, investors in the Russian stock market cannot fully diversify their portfolios due to transaction costs, information gathering and processing costs, and short-comings in investor...
Persistent link: https://www.econbiz.de/10012148771
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Did foreign banks "cut and run" or stay committed to Emerging Europe during the crises?
Bonin, John P.; Louie, Dana - 2015
Our objective is to examine empirically the behavior of foreign banks regarding real loan growth during a financial crisis for a set of countries in which these banks dominate the banking sectors due primarily to having taken over large existing former state-owned banks. The eight countries are...
Persistent link: https://www.econbiz.de/10012148772
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Deposit dollarization in emerging markets: modelling the hysteresis effect
Krupkina, Anna; Ponomarenko, Alexey - 2015
We apply empirical modelling set-ups developed to capture the hysteresis effect in the data on deposit dollarization in a cross-section of emerging market economies. Specifically, we estimate a nonlinear relationship that determines two equilibrium levels of deposit dollarization depending on...
Persistent link: https://www.econbiz.de/10012148773
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Is it worth issuing bonds in China? Evidence from stock market reactions
Klein, Paul-Olivier; Weill, Laurent - 2015
There has been a considerable expansion of corporate bond markets in China in the recent years. The objective of this study is to examine the stock market reaction following bond issuance by Chinese companies. In addition to analyzing for positive or negative reactions to bond issues, we...
Persistent link: https://www.econbiz.de/10012148774
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