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Mikko Mäkinen

Vanhempi ekonomisti

Suomen Pankin nousevien talouksien tutkimuslaitos (BOFIT)

etunimi.sukunimi@bof.fi

Mikko Mäkinen toimii vanhempana ekonomistina rahapolitiikka- ja tutkimusosaston Nousevien talouksien tutkimuslaitoksessa (BOFIT). Hänen vastuualueisiinsa kuuluu Venäjän talouden kehitys ja talouspolitiikka. Hänen tutkimuskohteitaan ovat pankkisektori, makrotalouden ennustemallit ja työn taloustiede. Mikko Mäkinen on työskennellyt Suomen Pankissa marraskuusta 2015. Hän on suorittanut taloustieteen jatko-opinnot Helsingin kauppakorkeakoulussa ja maisteritutkinnon Helsingin yliopistossa. Hän väitteli kauppatieteiden tohtoriksi vuonna 2007. Hän on aiemmin toiminut tutkijana Aalto-yliopiston taloustieteen laitoksella ja ETLAssa.

  • The Differing Effects of Individual and Group Incentive Pay on Worker Separation: Evidence using Finnish Panel Data (15.1.2021). Derek C. Jones; Panu Kalmi; Takao Kato; Mikko Mäkinen. International Journal of Human Resource Management.

  • Do Banks Learn from Financial Crisis? The Experience of Nordic Banks (13.9.2018). Tom Berglund; Mikko Mäkinen. Research in International Business and Finance.

  • FinTechs in China – with a special focus on peer to peer lending (15.10.2017). Caroline Stern; Mikko Mäkinen; Zongxin Qian. Journal of Chinese Economic and Foreign Trade Studies.

  • Complementarities between employee involvement and financial participation: do institutional context, differing measures, and empirical methods matter? (1.3.2017). Derek C. Jones; Panu Kalmi; Takao Kato; Mikko Mäkinen. Industrial and Labor Relations Review.

  • Comparative efficiency between cooperative, savings and commercial banks in Europe using the frontier approach (1.9.2015). Mikko Mäkinen; Derek C. Jones. Annals of Public and Cooperative Economics.

  • Financial participation in Finland: incidence and determinants (1.3.2012). Derek C. Jones; Panu Kalmi; Takao Kato; Mikko Mäkinen. International Journal of Human Resource Management.

  • The productivity effects of stock option schemes: evidence from Finnish panel data (1.10.2010). Derek C. Jones; Panu Kalmi; Mikko Mäkinen. Journal of Productivity Analysis.

  • The determinants of stock option compensation: evidence from Finland (1.1.2007). Derek C. Jones; Panu Kalmi; Mikko Mäkinen. Industrial Relations: A Journal of Economy and Society.

      • Talouden ajankohtaiskatsaus, huomio Venäjän talouteen (14.12.2022).

      • Individual trust and wage (29.11.2022).

      • Comments on "The Effect of House Prices on Bank Risks: Empirical Evidence from Hungary" by Nikolett Vágó (18.12.2017).

      • Determinants of bank closures: Do changes of financial ratios matter? (24.11.2017).

      • Comments on "Executive Age and Bank Risk-Taking" by Shaker Ahmed, Jukka Sihvonen and Sami Vähämaa (22.8.2017).

      • This time the Financial Crisis is not the Same for the Nordic Banks (29.7.2016).

      • Comments on "New Financial Tools for Small Business: A Commitment Mechanism, Bank Finding, Binary Options Market and Purchase Contract Securization" by Nahum Biger (29.7.2016).

      • Complementarities between EI and FP: Do Institutional Context, Differing Measures, and Empirical Methods Matter? (7.7.2016).

      • Comments on "Microeconomic determinants of non‐performing loans and resilience of employee‐owned firms during crisis" by Domadenik P. and Koman M. (7.7.2016).