BOFIT vertaisarvioidut tutkimukset

Vertaisarvioiduissa tieteellisissä julkaisuissa ilmestyneitä Suomen Pankin siirtymätalouksien tutkimuslaitoksen BOFIT Discussion Papers julkaisusarjan tutkimuksia.

2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003 | 2002 | 2001 | 2000

Lähiaikoina ilmestyvät
 

No. 21/2012
Pierre Pessarossi and Laurent Weill: Does CEO turnover matter in China? Evidence from the stock markets
Published in: Journal of Economics and Business

No. 3/2012
Zuzana Fungáčová and Petr Jakubík: Bank stress tests as an information device for emerging markets: The case of Russia
Published in: Czech Journal of Economics and Finance

No. 18/2011
Peter Sarlin and Tuomas A. Peltonen: Mapping the financial stability
Published in: Journal of International Financial Markets, Institutions & Money

No. 6/2011
Christophe Godlewski, Rima Turk-Ariss and Laurent Weill: Sukuk vs. conventional bonds: A stock market perspective
Published in: Journal of Comparative Economics

No. 6/2010
Yu-Fu Chen, Michael Funke and Nicole Glanemann: Off-the-record target zones: Theory with an application to Hong Kong's currency board
Published in: Studies in Nonlinear Dynamics and Econometrics

2013
 

No. 27/2012
Xi Chen and Michael Funke: Real-time warning signs of emerging and collapsing Chinese house price bubbles
Published in: The National Institute Economic Review, February 2013, 223 (1), pp. 39–48
DOI: http://dx.doi.org/10.1177/002795011322300105

No. 18/2012
José R. Sánchez-Fung: Examining the role of monetary aggregates in China
Published in: Economics Bulletin, 2013, Vol. 33 No. 2 pp. 1290–1299

No. 34/2011
Zuzana Fungáčová, Risto Herrala and Laurent Weill: The Influence of Bank Ownership on Credit Supply: Evidence from the Recent Financial Crisis
Published in: Emerging Markets Review, Volume 15, June 2013, Pages 136–147
DOI: http://dx.doi.org/10.1016/j.ememar.2013.02.002

No. 29/2011
Pierre Pessarossi and Laurent Weill: Choice of Corporate Debt in China: The Role of State Ownership
Published in: China Economic Review, Volume 26, September 2013, Pages 1–16
DOI: http://dx.doi.org/10.1016/j.chieco.2013.03.005

No. 5/2011
Aaron Mehrotra, Riikka Nuutilainen and Jenni Pääkkönen: Changing economic structures and impacts of shocks — evidence from a DSGE model for China
Published in: Pacific Economic Review, Volume 18, Issue 1, February 2013,  pp. 92–107
DOI: http://dx.doi.org/10.1111/1468-0106.12012

No. 19/2010
Michael Funke and Michael Paetz: Housing prices and the business cycle: An empirical application to Hong Kong
Published in: Journal of Housing Economics, Volume 22, Issue 1, March 2013, Pages 62–76
DOI: http://dx.doi.org/10.1016/j.jhe.2012.11.001

No. 5/2010
William Pyle and Laura Solanko: The composition and interests of Russia's business lobbies: Testing Olson's hypothesis of the "encompassing organization"
Published in: Public Choice, April 2013, Volume 155, Issue 1-2, pp 19-41
DOI: http://dx.doi.org/10.1007/s11127-011-9823-x

No. 12/2009
Zuzana Fungáčová and Laurent Weill: How Market Power Influences Bank Failures: Evidence from Russia
Published in: Economics of Transition, Volume 21, Issue 2, pages 301–322, April 2013
DOI: http://dx.doi.org/10.1111/ecot.12013

2012
 

No. 21/2011
Dong He and Honglin Wang: Dual-track interest rates and the conduct of monetary policy in China
Published in: China Economic Review, Volume 23, Issue 4, December 2012, pp. 928–947
DOI: http://dx.doi.org/10.1016/j.chieco.2012.04.013

No. 4/2011
Rajeev K. Goel and Aaron Mehrotra: Financial settlement modes and corruption: Evidence from developed nations
Published in: Applied Financial Economics Volume 22, Issue 11, 2012.
as Financial Payment Instruments and Corruption 
DOI:10.1080/09603107.2011.628295

No. 20/2010
Pierre Pessarossi, Christophe Godlewski and Laurent Weill: Foreign bank lending and information asymmetries in China: Empirical evidence from the syndicated loan market
Published in: Journal of Asian Economics, Volume 23, Issue 4, August 2012, Pages 423–433
DOI: http://dx.doi.org/10.1016/j.asieco.2012.03.006 

No. 1/2010
Anatoly Peresetsky: Bank cost efficiency in Kazakhstan and Russia
Published in: Macroeconomics and Finance in Emerging Market Economies 06 Dec 2012
as Cost efficiency of Kazakhstan and Russian banks: results from competing panel data models
DOI: http://dx.doi.org/10.1080/17520843.2012.727444

 

No. 19/2009
Chun-Yu Ho: Market structure, welfare, and banking reform in China
Published in: Journal of Comparative Economics Vol. 40, Issue 2, May 2012, pp. 291–313
DOI: http://dx.doi.org/10.1016/j.jce.2011.07.006

No. 10/2008
Rajeev K. Goel: Regulatory bottlenecks, transaction costs and corruption: A cross-country investigation
Published in: Journal of Economic Policy Reform, Vol. 15, Iss. 3, 2012
as Business regulation and taxation: effects on cross-country corruption
DOI: http://dx.doi.org/10.1080/17487870.2012.692468

  No. 4/2006
Tuuli Juurikkala, Olga Lazareva: Non-wage benefits, costs of turnover, and labor attachment: Evidence from Russian firms
Published in: Economics of Transition, Volume 20, Issue 1, pages 113–136, January 2012
as Non-wage benefits, costs of turnover and labour attachment. Evidence from Russian firms
DOI: 10.1111/j.1468-0351.2011.00426.x
2011
  No. 16/2011
Gregory C. Chow, Changjiang Liu and Linlin Niu: Co-movements of Shanghai and New York stock prices by time-varying regressions
Published in: Journal of Comparative Economics, Vol. 39, Issue 4, Dec. 2011, pp. 577-583 .
doi:10.1016/j.jce.2011.06.001
  No. 5/2010 BOFIT Online
Ye.Yasin, V. Gimpelson, V. Golikova, K. Gonchar, T. Dolgopyatova, B. Kuznetsov and A. Yakovlev: Russian Manufacturing Revisited: Industrial Enterprises at the Start of the 2008 Financial Crisis
Published in: Post-Soviet Affairs, Vol. 27, No. 4 / Oct.-Dec. 2011, p. 366-386
as Russian Manufacturing Revisited: Industrial Enterprises at the Start of the Crisis
DOI 10.2747/1060-586X.27.4.366
  No. 13/2009
Iikka Korhonen and Maria Ritola: Renminbi misaligned - Results from meta-regressions
Published in: Yin-Wong Cheung et al, (eds.): ASIA AND CHINA IN THE GLOBAL ECONOMY.
  No. 15/2011
John Knight and Wei Wang: China’s Macroeconomic Imbalances: Causes and Consequences
Published in: The World Economy, Vol. 34, Issue 9, pp. 1476–1506, September 2011
DOI: 10.1111/j.1467-9701.2011.01389.x
  No. 1/2011
Aaron Mehrotra and Jenni Pääkkönen: Comparing China’s GDP Statistics with Coincident Indicators
Published in: Journal of Comparative Economics, Vol. 39, Iss. 3, Sept. 2011, pp. 406–411
DOI: http://www.sciencedirect.com/science/article/pii/S0147596711000187
  No. 16/2010
Christophe J. Godlewski, Zuzana Fungáčová and Laurent Weill: Stock market reaction to debt financing arrangements in Russia
Published in: Comparative Economic Studies, 2011, 53, (679–693)
doi: 10.1057/ces.2011.19
  No. 11/2010
Michael Funke, Hao Yu: The emergence and spatial distribution of Chinese seaport cities
Published in: China Economic Review, 22 (2011) 196–209.
DOI: http://dx.doi.org/10.1016/j.chieco.2011.01.002
 

No 2/2010
Laurent Weill: Do islamic banks have greater market power?
Published in: Comparative Economic Studies (2011) 53, 291–306
DOI: http://dx.doi.org/10.1057/ces.2011.1

No. 23/2009
Aaron Mehrotra and José R. Sánchez-Fung: Assessing McCallum and Taylor rules in a cross-section of emerging market economies.
Published in: Journal of International Financial Markets, Institutions & Money, 21(2), 207-228.
DOI: http://dx.doi.org/10.1016/j.intfin.2010.10.004

  No. 22/2009
Zuzana Fungáčová and Tigran Poghosyan: Determinants of bank interest margins in Russia: Does bank ownership matter?
Published in: Economic Systems 35 (2011) pp. 481–495.
DOI: http://dx.doi.org/10.1016/j.ecosys.2010.11.007
  No. 14/2009
Michael Funke, Michael Paetz and Ernest Pytlarczyk: Stock market wealth effects in an estimated DSGE model for Hong Kong
Published in: Economic Modelling, Vol 28, No 1-2 (2011), pp. 316–334.
DOI: ​http://dx.doi.org/10.1016/j.econmod.2010.08.016
  No. 7/2009
Zuzana Fungáčová, Christophe Godlewski and Laurent Weill: Asymmetric information and loan spreads in Russia: Evidence from syndicated loans
Published in: Eastern European Economics Vol. 49, no. 1, Jan.–Feb. 2011, pp. 13–30.
DOI: http://dx.doi.org/10.2753/EEE0012-8775490102
  No. 5/2009
Rajeev K. Goel and Iikka Korhonen: Composition of exports and cross-country corruption
Published in: Economic Systems 35 (2011) 109–124.
as Exports and Cross-National Corruption: A Disaggregated Examination Economic Systems
DOI: http://dx.doi.org/10.1016/j.ecosys.2010.10.002
 

No. 3/2009
Laurent Weill: Does corruption hamper bank lending? Macro and micro evidence
Published in: Empirical Economics, August 2011, Volume 41, Issue 1, pp 25–42
DOI: http://dx.doi.org/10.1007/s00181-010-0393-4

No. 2/2009
Jin Feng, Lixin He and Hiroshi Sato: Public pension and household saving: Evidence from China
Published in: Journal of Comparative Economics, Vol. 39, Iss.4, Dec. 2011, pp. 470–485.
DOI: http://dx.doi.org/10.1016/j.jce.2011.01.002

No. 18/2008
Laurent Weill: How corruption affects bank lending in Russia
Published in: Economic Systems, Volume 35, Issue 2, June 2011, Pages 230–243
DOI: http://dx.doi.org/10.1016/j.ecosys.2010.05.005  

 
No. 17/2008
Anatoly Peresetsky and Alexander Karminsky: Models for Moody’s bank ratings
Published in: Frontiers in Finance and Economics, 2011, 8(1), pp. 88–110
  No. 18/2007
William Pyle: Organized business, political regimes and property rights across the Russian Federation
Published in: Journal of Law, Economics and Organization, (2011) 27(1): 2-31. 
DOI:10.1093/jleo/ewp013
  No. 7/2006
Konstantin Gluschenko: Russia’s common market takes shape: Price convergence and market integration among Russian regions
Published in: Regional Science and Urban Economics, 41 (2), pp. 160-172 (2011)
as Price convergence and market integration in Russia
  No. 21/2004
Anatoly A. Peresetsky, Alexandr A. Karminsky and Sergei V. Golovan: Probability of default models of Russian banks
Published in: Economic Change and Restructuring, 2011, 44(4), 297–334 DOI:10.1007/s10644-011-9103-2.  
2010
  No. 15/2010
Eric Girardin and Konstantin A. Kholodilin: How helpful are spatial effects in forecasting the growth of Chinese provinces?
Published in: Journal of Forecasting, Vol. 30, Issue 7, Nov. 2011, pp. 622–643
DOI: 10.1002/for.1193
  No. 10/2010
Aaron Mehrotra and José R. Sánchez-Fung: China’s monetary policy and the exchange rate.
Published in: Comparative Economic Studies,52(4), 497-514
DOI: http://dx.doi.org/10.1057/ces.2010.16
  No. 3/2010
Zuzana Fungáčová, Laura Solanko  and Laurent Weill: Market Power in the Russian Banking Industry.
Published in:  International Economics 124 (2010), pp. 127-146.
  No. 1/2010
Anatoly Peresetsky: Bank cost efficiency in Kazakhstan and Russia
Published in: Finansy i Biznes (Finance and Business), n.1, 2009, pp. 41-53
as Cost efficiency of banks. Russia and Kazakhstan
  No. 27/2008
Fedorova, E. and Vaihekoski, M.: Global and Local Sources of Risk in Eastern European Emerging Stock Markets
Published in: Finance a úvér–Czech Journal of Economics and Finance, 2009, vol.59, no.1,2-19.
  No. 20/2008
Pierre-Guillaume Méon and Laurent Weill: Is Corruption an Efficient Grease? A Cross-Country Aggregate Analysis
Published in: World Development 38, 3, 244-259, 2010
  No. 16/2008
Iikka Korhonen and Svetlana Ledyaeva: Trade linkages and macroeconomic effects of the price of oil.
Published in: Energy Economics, Vol. 32, Issue 4, July 2010, pp. 848-856.
DOI: http://dx.doi.org/10.1016/j.eneco.2009.11.005
  No. 6/2008
Rajeev K. Goel and Michael A. Nelson: Causes of Corruption: History, Geography, and Government
Published in: Journal of Policy Modeling, Vol. 32, Issue 4, July–August 2010, pp. 433–447.
DOI: http://dx.doi.org/10.1016/j.jpolmod.2010.05.004
  No. 19/2007
Aaron Mehrotra, Tuomas Peltonen and Alvaro Santos Rivera: Modelling inflation in China – A regional perspective.
Published in: China Economic Review 21 (2), 237-255.
  No. 14/2007
Iikka Korhonen and Aaron Mehrotra: Money demand in post-crisis Russia: De-dollarisation and re-monetisation.
Published in: Emerging Markets Finance and Trade 46. (2), 5-19.
  No. 13/2006
Karas A, Pyle W, Schoors K: Sophisticated Discipline in a Nascent Deposit Market: Evidence from Post-Communist Russia.
Published in: Oxford Economic Papers, 62: 36-61
  No. 3/2006
Konstantin Gluschenko and Darya Kulighina: Assessing a feasible degree of product market integration. A pilot analysis
Published in: Journal of Economic Studies, Volume 37, Issue 4/2010.
2009
  No. 29/2008
Yu-Fu Chen and Michael Funke: China's new labour contract law: No harm to employment?
Published in: China Economic Review 20 (2009).
  No. 23/2008
Olga Garanina: What beyond oil and gas? Russian trade specialisation in manufactures
Published in: Post-Communist Economies, vol. 21, no. 1, March 2009, 1-29  
 
No. 22/2008
Juuso Kaaresvirta and Aaron Mehrotra: Business surveys and inflation forecasting in China.
Published in: Economic change and restructuring, vol. 42, no. 4 (2009), pp. 263-271.
DOI: 10.1007/s10644-009-9071-y  
  No. 17/2008
Anatoly Peresetsky: Market Discipline and Deposit Insurance in Russia
Published in: Прикладная эконометрика, Prikladnaia Ekonometrika (Applied Econometrics), No. 2, 2009, стр. 3-23.
as Measuring external support factor of Moody’s bank ratings.
 
No. 15/2008
Tuuli Koivu, Aaron Mehrotra and Riikka Nuutilainen: McCallum rule and Chinese monetary policy
Published in: Journal of Chinese Economic and Business Studies. Volume 7, Issue 2, May 2009, pages 219-235
as An analysis of Chinese money and prices using a McCallum-type rule.
DOI:10.1080/14765280902847742
  No. 8/2008
Kashif Saleem: International linkage of the Russian market and the Russian financial crisis: A multivariate GARCH analysis
Published in: Research in International Business and Finance, Volume 23, Issue 3, September 2009, Pages 243-256
  No. 5/2008
Tomasz Koźluk and Aaron Mehrotra: The Impact of Chinese Monetary Policy Shocks on East Asia
Published in: Economics of Transition, Vol. 17, Issue 1, pp. 121-145.
  No. 3/2008
Alexei Karas, Koen Schoors and Laurent Weill: Are private banks more efficient than public banks? Evidence from Russia
Published in: Economics of Transition Vol 18, Issue 1 (January 2010), pp. 123-141  
  No. 17/2007
Roberta Colavecchio and Michael Funke: Volatility dependence across Asia-Pacific on-shore and off-shore U.S. dollar futures markets
Published in: Journal of Asian Economics, Vol. 20, No. 2, March 2009
as Volatility dependence across Asia-Pacific onshore and offshore currency forwards markets
  No. 15/2007
Svetlana Ledyaeva: Spatial econometric analysis of determinants and strategies of FDI in Russian regions in pre- and post-1998 financial crisis periods
Published in: World Economy, Vol. 32, Issue 4, April 2009, pp: 643-666
as Spatial Econometric Analysis of Foreign Direct Investment Determinants in Russian Regions
DOI: 10.1111/j.1467-9701.2008.01145.x
  No. 8/2007
Iikka Korhonen and Tuuli Juurikkala: Equilibrium exchange rates in oil-dependent countries
Published in: Journal of Economics and Finance, Volume 33, 1/2009, pp. 71-79.
  No. 12/2006
Iftekhar Hasan, Paul Wachtel and Mingming Zhou: Institutional development, financial deepening and economic growth: Evidence from China
Published in: Journal of Banking & Finance, vol. 33, Issue 1, January 2009, pp. 157-170
2008
  No. 17/2008
Anatoly Peresetsky and Alexander Karminsky: Models for Moody’s bank ratings
Published in: Prikladnaia Ekonometrika (Applied Econometrics), No. 1, 2007, стр. 3-19.
as International agencies’ ratings models
  No.14/2008
Anatoly Peresetsky: Market Discipline and Deposit Insurance in Russia
Published in: Прикладная эконометрика, Prikladnaia Ekonometrika (Applied Econometrics), No. 3, 2008, стр. 3-14. (in Russian)
as Market Discipline and Deposit Insurance
  No. 2/2008
Aaron Mehrotra and José R. Sánchez-Fung: Forecasting Inflation in China.
Published in: China Economic Journal, Vol. 1, No. 3, 317-322.
  No. 20/2007
Michael Funke and Marc Gronwald: The undisclosed renminbi basket: Are the markets telling us somethnig about where the reminbi–US dollar exchange rate is going?
Published in: The World Economy, Volume 31, Issue 12, pp. 1581–1598, Dec.2008.
DOI: 10.1111/j.1467-9701.2008.01141.x
  No. 11/2007
Aaron Mehrotra and Jouko Rautava: Do sentiment indicators help to assess and predict actual developments of the Chinese economy?
Published in: Journal of Chinese Economic and Business Studies, Vol. 6, No. 3, pp. 225-239.
  No. 16/2006
Roberta Colavecchio, Michael Funke: Volatility transmissions between renminbi and Asia-Pacific on-shore and off-shore U.S. dollar futures
Published in: China Economic Review 19 (2008) 635–648.
  No. 10/2006
Aaron N. Mehrotra: Demand for Money in Transition: Evidence from China's Disinflation.
Published in: International Advances in Economic Research, vol. 14(1), pages 36-47
  No. 12/2005
Brian M. Lucey and Svitlana Voronkova: Russian equity market linkages before and after the 1998 crisis: Evidence from time-varying and stochastic cointegration tests
Published in: Journal of International Money and Finance, Volume 27, Issue 8, Dec. 2008, pp. 1303-1324
  No. 9/2005
Stanislav Anatolyev: A ten-year retrospection of the behavior of Russian stock returns
Published in: Research in International Business and Finance, Vol. 22, 2008: 56-67.
  No. 17/2003
Michael Funke and Ralf Ruhwedel: Trade, product variety and welfare: A quantitative assessment for the transition economies in Central and Eastern Europe
Published in: China Economic Journal, 2008, Volume 1 (2): 203-212.
2007
  No. 2/2007
A.A. Peresetsky, A. M. Karminsky and S. V. Golovan: Russian banks´ private deposit interest rates and market discipline
Published in: Economics and Mathematical Methods,  v. 43, n.1, pp. 3-15 (in Russian)
as Deposit interest rates in the Russian banks, market discipline and deposit insurance system.
  No. 1/2007
Yuqing Xing: Foreign direct investment and China's bilateral intra-industry trade with Japan and the US
Published in: Journal of Asian Economics, Volume 18, Issue 4, August 2007, Pages 685-700.
  No. 17/2005
Aaron N. Mehrotra: Exchange and interest rate channels during a deflationary era – Evidence from Japan, Hong Kong, and China.
Published in: Journal of Comparative Economics, March 2007, Vol. 35, No 1, pp. 188-210.
  No. 13/2005 Eugenio Proto: Growth expectations and banking system fragility in developing economies
Published in: The B.E. Journal of Economic Analysis & Policy: Vol. 7, Iss. 1
as Bank Fragility and Growth Expectations.
  No. 11/2005
Bruno Merlevede, Koen Schoors: On the Speed of Economic Reform: Tale of the Tortoise and the Hare
Published in: Journal of Economic Policy Reform, 2007, Vol.10, No.1, pp. 29-50.
  No. 10/2005
Sophie Claeys, Gleb Lanine, Koen Schoors: Bank supervision Russian style: Rules versus enforcement and tacit objectives
Published in: Journal of Comparative Economics, September 2007, Vol. 35, No. 3, p. 630-657.
  No. 1/2005
Pertti Haaparanta and Jukka Pirttilä: Reforms and Confidence
Published in: Journal of Development Economics, September 2007, Vol. 84, No. 1, p- 534-550.
  No. 21/2004
Anatoly A. Peresetsky, Alexandr A. Karminsky and Sergei V. Golovan: Probability of default models of Russian banks
Published in: Economics and Mathematical Methods, 2007, v.43, n.3, pp. 37-62 (in Russian)
as Banks’ probability of default models
2006
  No. 15/2005
Anna Dorbec: Choice of the Substitution Currency in Russia: How to Explain the Dollar's Dominance?
Growth Resumption in the CIS Countries, ed. by Oleh Havrylyshyn and Lúcio Vinhas de Souza, Springer (2006), pp. 40-72.
  No. 6/2005
Michael Funke: Inflation in mainland China – modelling a roller coaster ride
Published in: Pacific Economic Review (2006), Vol. 11, No. 4, pp. 413-430. 
  No. 4/2005
Balázs Égert and László Halpern: Equilibrium exchange rates in Central and Eastern Europe: A meta-regression analysis
Published in: Journal of Banking & Finance 30 (2006), pp. 1359–1374.
  No. 2/2005
Iikka Korhonen and Paul Wachtel: A note on exchange rate pass-through in CIS countries
Published in: Research in International Business and Finance Vol. 20, No. 2 (2006), pp. 215-226.
  No. 20/2004
Jarko Fidrmuc and Iikka Korhonen: A meta-analysis of business cycle correlation between the euro area and CEECs: What do we know – and who cares?
Published in: Journal of Comparative Economics, Vol.34, No.3 (2006), pp. 518-537.
  No. 10/2003
Michael Funke and Holger Strulik: Taxation, growth and welfare: Dynamic effects of Estonia's 2000 income tax act
Published in Finnish Economic Papers vol 19, no 1 (2006), pp. 25-38.
  No. 4/2003
Byung-Yeon Kim and Jukka Pirttilä: The political economy of reforms: Empirical evidence from post-communist transition in the 1990s
Published in: Journal of Comparative Economics, Vol.34, No.3 (2006), pp. 446-466.
as
Political constraints and economic reform: Empirical evidence from the post-communist transition in the 1990s.
  No. 7/2001
Mark De Broeck and Torsten Sløk: Interpreting Real Exchange Rate Movements in Transition Countries
​Published in: Journal of International Economics vol. 68, no. 2 (2006), pp. 368-383.
2005
  No. 3/2005
Balázs Égert: Equilibrium exchange rates in Southeastern Europe, Russia, Ukraine and Turkey: Healthy or (Dutch) diseased?
Published in: Economic Systems vol. 29, no 2 (2005), pp. 123-282.
  No. 22/2004
John Bonin and Paul Wachtel: Dealing with financial fragility in transition economies
Published in: Systemic Financial Crises: Resolving Large Bank Insolvencies, D. Evanoff, G. Kaufman, eds., World Publishing, 2005.
  No. 15/2004
Steven Rosefield: An abnormal country
Published in: The European Journal of Comparative Economics vol. 2, no 1 (2005), pp. 3-16.
  No. 14/2004
Michael Funke and Jörg Rahn: Just how undervalued is the Chinese renminbi?
Published in: World Economy vol. 28, no 4 (2005), pp. 465-489.
  No. 11/2004
Akram Esanov, Christian Merkl and Lúcio Vinhas de Souza: Monetary Policy Rules for Russia
Published in: Journal of Comparative Economics vol 33, no 3 (2005), pp. 484-499. 
  No. 8/2004
John P.Bonin, Iftekhar Hasan and Paul Wachtel: Privatization matters: Bank efficiency in transition countries
Published in: Journal of Banking and Finance, (29), August-September 2005, pp. 2153-78.
as Privatization Matters: Bank Performance in Transition Countries
  No. 7/2004
John P.Bonin, Iftekhar Hasan and Paul Wachtel: Bank performance, efficiency and ownership in transitition countries
Published in: Journal of Banking & Finance vol. 29, no 1 (2005), pp. 31-53.
  No. 6/2004
Eugene Nivorozhkin: Financing choices of firms in EU accession countries
Published in: Emerging Markets Review vol. 6, no 2 (2005), pp. 138-169.
  No. 14/2003
Jesús Crespo-Cuaresma, Jarko Fidrmuc and Ronald McDonald: The monetary approach to exchange rates in the CEECs
Published in: Economics of Transition vol 13, no 2 (2005), pp. 395-416.
  No. 8/2003
Michael Funke and Ralf Ruhwedel: Export variety and economic growth in East European transition economies
Published in: Economics of Transition vol 13, no 1 (2005), pp. 25-50.
  No. 7/2003
Derek C. Jones, Panu Kalmi and Niels Mygind: Choice of ownership structure and firm performance: Evidence from Estonia
Published in: Post-Communist Economies vol 17, no 1 (2005), pp. 83-108.
  No. 1/2003
Karsten Staehr: Reforms and economic growth in transition economies: Complementarity, sequencing and speed
Published in: The European Journal of Comparative Economics, Vol. 2, n. 2 (2005), pp. 177-202.
  No. 15/2002
Byung-Yeon Kim and Iikka Korhonen: Equilibrium Exchange Rates in Transition Countries: Evidence from Dynamic Heterogeneous Panel Models
Published in: Economic Systems vol 29, no 2 (2005), pp. 144-162.
2004
  No. 6/2003
Jarko Fidrmuc and Iikka Korhonen: The Euro goes East: Implications of the 2000-2002 economic slowdown for synchronisation of business cycles between the euro area and CEEs
Published in: Comparative Economic Studies vol. 46 no 1 (2004), pp. 45-62.
  No. 3/2003
Abdur R. Chowdhury: Do asymmetric terms of trade shocks affect private savings in a transition economy?
Published in: Comparative Economic Studies vol. 46 no. 4 (2004), pp. 487–514
as
Private Savings in Transition Economies: Are there Terms of Trade Shocks?
  No. 2/2003
Eugene Nivorozhkin: The dynamics of capital structure in transition economies
Published in: Economics of Planning vol 37, no 1 (2004), pp. 25-45.
  No. 8/2002
Christoph Fischer: Real currency appreciation in accession countries: Balassa-Samuelson and investment demand
Published in: Review of World Economics/Weltwirtschaftliches Archiv vol. 140, no 2 (2004), pp. 179-210.
  No. 3/2002
Jouko Rautava: The role of oil prices and the real exchange rate in Russia's economy
Published in: Journal of Comparative Economics vol. 32, no 2 (2004), pp. 315-327.
  No. 15/2001
Byung-Yeon Kim - Jukka Pirttilä: Money, Barter and Inflation in Russia
Published in: Journal of Comparative Economics vol 32, no 2 (2004), pp. 197-373.
  No. 8/2001
Jarko Fidrmuc: The Endogeneity of optimum currency area criteria, intraindustry trade and EMU enlargement
Published in: Contemporary Economic Policy vol. 22, no 1 (2004), pp. 1-12.
  No. 5/2001
Alessandra Guariglia and Byung-Yeon Kim: The Dynamics of Moonlighting: What is happening in the Russian informal economy?
Published in: Journal of Population Economics Vol. 17 (2004), pp. 289–310
as Earnings uncertainty, precautionary saving, and moonlighting in Russia.
2003
  No. 5/2003
Tuomas Komulainen and Johanna Lukkarila: What drives financial crises in emerging markets?
Published in: Emerging Markets Review vol 4, no 3 (2003), pp. 248-272.
  No. 9/2002
John Bonin and Paul Wachtel: Financial sector development in transition economies: Lessons from the first decade
Published in: Financial Markets, Institutions and Instruments vol 12, no 1 (2003), pp. 1-66.
  No. 2/2002
Juha-Pekka Niinimäki: Bank Panics in Transition Economies
Published in: Journal of Institutional and Theoretical Economics, vol 159 no 3 (2003), pp. 511-522
as Maturity transformation without maturity mismatch and bank panics.
  No. 14/2001
Jarko Fidrmuc and Iikka Korhonen :Similarity of supply and demand shocks between the Euro area and the CEECs
Published in: Economic Systems vol 27, no 3 (2003), pp. 313-334.
  No. 12/2001
Jan Winiecki: The role of the new, entrepreneurial private sector in transition and economic performance in light of the successes in Poland, the Czech Republic and Hungary
Published in: Problems of Economic Transition vol 45, no 11 (2003), pp. 6-38.
  No. 9/2001
Iikka Korhonen: Some empirical tests on the integration of economic activity between the Euro area and the accession countries
Published in: Economics of Transition vol 11, no 1 (2003), pp. 177-196.
  No. 8/2000
Juhani Laurila and Rupinder Singh: Sequential reform strategy: The case of Azerbaijan
Published in: Journal of Banking & Finance vol 27, no 12 (2003), pp. 2249-2271.
  No. 7/2000
Iftekhar Hasan and Katherin Marton: Development and Efficiency of the Banking Sector in a Transitional Economy: Hungarian Experience
Published in: Journal of Banking & Finance vol 27, no 12 (2003), pp. 2249-2271.
  No. 6/2000
Martti Vihanto: Tax Evasion in a Transition from Socialism to Capitalism: The Psychology of the Social Contract
Published in: Journal of Socio-Economics vol 32, no 2 (2003), pp. 111-125
as Tax evasion and the psychology of the social contract.
2002
  No. 6/2002
Balázs Égert: Investigating the Balassa-Samuelson hypothesis in transition: Do we understand what we see?
Published in: Economics of Transition vol 10, no 2 (2002), pp. 273-309.
  No. 11/2000
Tuomas Komulainen and Jukka Pirttilä: Fiscal Explanations for Inflation: Any Evidence from Transition Economies?
Published in: Economics of Planning vol 35, no 3 (2002), 293-316.
  No. 9/2000
Byung-Yeon Kim: Causes of repressed inflation in the Soviet consumer market: Retail price subsidies, the siphoning effect, and the budget deficit
Published in: Economic History Review vol 55, no 1 (2002), pp. 105-127.
2001
No. 10/2000
R. E. Ericson and B. W. Ickes: A Model of Russia’s "Virtual Economy"
Published in: Review of Economic Design vol 6, issue 2 (2001), pp. 185-214.
  No. 5/2000
Jukka Pirttilä: Fiscal Policy and Structural Reforms in Transition Economies: An Empirical Analysis
Published in: Economics of Transition vol 9, no 1 (2001), pp. 29-52.
2000
  No. 7/1999
Vadims Sarajevs: Macroeconomic Model of Transition Economy: A Stochastic Calculus Approach
Published in: Ekonomia vol 4, no 2 (2000), pp.192-219.
  No. 6/1999
Iikka Korhonen: Currency Boards in the Baltic Countries: What Have We Learned?
Published in: Post-Communist Economies vol 12, no 1 (2000), pp. 25-46.