Yksikkö
Tutkimusyksikkö
Sähköposti
etunimi.sukunimi@bof.fi
Bonus Caps and Bankers' Risk-Taking (28.8.2024). Esa Jokivuolle; Jussi Keppo; Xuchuan Yuan. Journal of Risk (Forthcoming).
Have Too-Big-To-Fail Expectations Diminished? Evidence from the European Overnight Interbank Market (15.8.2021). Eero Tölö; Esa Jokivuolle; Matti Virén. Journal of Financial Services Research.
Are bank capital requirements optimally set? Evidence from researchers’ views (22.7.2020). Gene Ambrocio; Iftekhar Hasan; Esa Jokivuolle; Kim Ristolainen. Journal of Financial Stability.
Bail-In: EU Rules and Their Applicability in the Nordic Context (15.6.2020). Esa Jokivuolle; Vesa Vihriälä; Kimmo Virolainen; Hanna Westman. Nordic Economic Policy Review.
Miksi Suomi säästyi pankkikriisiltä? (18.12.2017). Esa Jokivuolle; Matti Virén. Kansantaloudellinen aikakauskirja.
Do Banks' Overnight Borrowing Rates Lead Their CDS Price? Evidence from the Eurosystem (25.5.2017). Esa Jokivuolle; Eero Tölö; Matti Virén. Journal of Financial Intermediation.
Why is credit-to-GDP a good measure for setting countercyclical capital buffers? (20.3.2015). Esa Jokivuolle; Jarmo Pesola; Matti Virén. Journal of Financial Stability.
Does a Leverage Ratio Requirement Increase Bank Stability? (18.11.2013). Ilkka Kiema; Esa Jokivuolle. Journal of Banking and Finance.
Why Do We Need Countercyclical Capital Requirements? (15.8.2013). Esa Jokivuolle; Ilkka Kiema; Timo Vesala. Journal of Financial Services Research.
Cyclical default and recovery in stress testing loan losses (19.10.2011). Matti Virén; Esa Jokivuolle. Journal of Financial Stability.
Rating targeting and dynamic economic capital (1.4.2010). Esa Jokivuolle; Samu Peura. Journal of Risk.
Trading Nokia: The roles of the Helsinki vs the New York stock exchanges (1.3.2005). Esa Jokivuolle; Markku Lanne. Liiketaloudellinen aikakauskirja - Finnish Journal of Business Economics.
Simulation Based Stress Tests of Banks' Regulatory Capital Adequacy (31.12.2004). Samu Peura; Esa Jokivuolle. Journal of Banking and Finance.
Incorporating Collateral Value Uncertainty in Loss-Given-Default Estimates and Loan-to-Value Ratios (31.12.2003). Esa Jokivuolle; Samu Peura. European Financial Management.
Regulatory Capital Volatility (1.5.2001). Esa Jokivuolle; Samu Peura. Risk.
Pricing European Options on Autocorrelated Indexes (1.1.1998). Esa Jokivuolle. Journal of Derivatives.
Measuring True Stock Index Value in the Presence of Infrequent Trading (1.9.1995). Esa Jokivuolle. Journal of Financial and Quantitative Analysis.
What should the inflation target be? Views from 600 economists (9.5.2022). Gene Ambrocio; Andrea Ferrero; Esa Jokivuolle; Kim Ristolainen. Bank of Finland Research Discussion Papers
Optimal bank capital requirements : What do the macroeconomic models say? (29.4.2022). Adam Gulan; Esa Jokivuolle; Fabio Verona. BoF Economics Review
Are bank capital requirements optimally set? Evidence from researchers’ views (2.6.2020). Gene Ambrocio; Iftekhar Hasan; Esa Jokivuolle; Kim Ristolainen. Bank of Finland Research Discussion Papers
Cross-border loan portfolio diversification, capital requirements, and the European Banking Union (28.5.2019). Esa Jokivuolle; Matti Virén. BoF Economics Review
Testing the systemic risk differences in banks (1.6.2018). Esa Jokivuolle; Radu Tunaru; Davide Vioto. Bank of Finland Research Discussion Papers
Should bank capital requirements be less risk-sensitive because of credit constraints? (15.5.2017). Gene Ambrocio; Esa Jokivuolle. Bank of Finland Research Discussion Papers
Why are bank runs sometimes partial? (9.4.2015). Ilkka Kiema; Esa Jokivuolle. Bank of Finland Research Discussion Papers
Bonus caps, deferrals and bankers' risk-taking (3.3.2015). Esa Jokivuolle; Jussi Keppo; Xuchuan Yuan. Bank of Finland Research Discussion Papers
99.9% - really? (9.10.2013). Ilkka Kiema; Esa Jokivuolle. Bank of Finland Research Discussion Papers
GDP at risk in a DSGE model : an application to banking sector stress testing (1.1.2007). Esa Jokivuolle; Juha Kilponen; Tero Kuusi. Bank of Finland Research Discussion Papers
The New Basel accord : Some potential implications of the new standards for credit risk (1.1.2001). Karlo Kauko; Esa Jokivuolle. Bank of Finland Research Discussion Papers
A value-at-risk approach to banks' capital buffers : An application to the new Basel Accord (1.1.2001). Esa Jokivuolle; Samu Peura. Bank of Finland Research Discussion Papers
Successful banking crisis management requires a unitary European authority for resolution and deposit insurance (29.2.2024). Esa Jokivuolle; Pentti Hakkarainen. SUERF Policy Note.
Navigating disinflation: Views from 400 economists (24.4.2023). Esa Jokivuolle; Gene Ambrocio; Andrea Ferrero; Kim Ristolainen. VoxEU.
Navigating disinflation: Views from 400 economists (24.4.2023). Esa Jokivuolle; Gene Ambrocio; Andrea Ferrero; Kim Ristolainen. VoxEU.
Liikasen raportin perintö pankkikriisien estämiseksi elää vahvasti (24.10.2022). Esa Jokivuolle; Hanna Westman. Kauppalehti.
What Should the Inflation Target Be? Views from 600 Economists (31.7.2022). Esa Jokivuolle; Gene Ambrocio; Andrea Ferrero; Kim Ristolainen. SUERF Policy Brief.
The optimal inflation target : Views from 600 economists (21.7.2022). Esa Jokivuolle; Kim Ristolainen ; Andrea Ferrero; Gene Ambrocio. VoxEU.
What Should the Inflation Target Be? Views from 600 Economists (8.5.2022). Esa Jokivuolle; Gene Ambrocio; Andrea Ferrero; Kim Ristolainen. CEPR Discussion Paper.
What academics think of central banks’ current inflation targets and other objectives (6.3.2021). Gene Ambrocio; Esa Jokivuolle. VoxEU.
Are bank capital requirements optimally set? Evidence from researchers’ views (15.9.2020). Esa Jokivuolle; Gene Ambrocio; Iftekhar Hasan. SUERF Policy Note.
Post-Crisis Policy Challenges and Implications for Macro Modelling (29.10.2019). Ernest Gnan; Esa Jokivuolle. SUERF Conference Reports.
Loan portfolio diversification in the euro area, capital requirements, and the European Banking Union (15.7.2019). Esa Jokivuolle; Matti Virén. SUERF Policy Notes.
How to design the European Deposit Insurance Scheme (1.6.2019). Esa Jokivuolle; George G. Pennacchi; George Pennacchi. VoxEU.
Designing a Multinational Deposit Insurance System : Implications for the European Deposit Insurance Scheme (15.5.2019). Esa Jokivuolle; George Pennacchi. ifo DICE Report.
Expert survey on bank capital requirements : Preliminary results (25.4.2019). Esa Jokivuolle; Gene Ambrocio; Iftekhar Hasan. VoxEU.
On the risk sensitivity of bank capital requirements (14.5.2018). Esa Jokivuolle; Gene Ambrocio. VoxEU.
Preparing for the Next Financial Crisis. Policies, Tools and Models (10.11.2017). Esa Jokivuolle; Radu S. Tunaru. .
Reflections on the need for structural reform of banks (31.1.2014). Esa Jokivuolle. .
Model-Based Downturn Probabilities of Default for Basel III (31.12.2012). Matti Virén Esa Jokivuolle; Esa Jokivuolle. .
Special issue: Housing markets—a shelter from the storm or cause of the storm? (31.12.2010). Esa Jokivuolle. Journal of Financial Stability.
Transmission of Macro Shocks to Loan Losses in a Deep Crisis: The Case of Finland (31.12.2010). Esa Jokivuolle; Matti Virén; Oskari Vähämaa. .
Macro Model-Based Stress Testing of Basel II Capital Requirements (31.12.2008). Esa Jokivuolle; Kimmo Virolainen; Oskari Vähämaa. .
Stress Tests of Banks’ Regulatory Capital Adequacy: Application to Tier 1 Capital and to Pillar 2 Stress Tests (31.12.2007). Samu Peura Esa Jokivuolle; Esa Jokivuolle. .
Aligning Regulatory Capital with Economic Capital (31.12.2006). Esa Jokivuolle. .
LGD in a Structural Model of Default (31.12.2005). Samu Peura Esa Jokivuolle; Esa Jokivuolle. .
Stress Tests of Banks' Regulatory Capital Adequacy: Application to Tier 1 Capital (31.12.2004). Samu Peura Esa Jokivuolle; Esa Jokivuolle. .
Credit risk modelling and bank regulation I (7.4.2022).
Are bank capital requirements optimally set? Evidence from researchers' views (14.6.2021).
Moderator: Key takeaways from ECB FSR (28.5.2020).
Bank Capital Survey (SNB seminar) (20.2.2020).
Suuri Nobel-keskustelu 2022 (27.10.2022). HS.fi.
Raise Bank Capital Requirements, Academics Say in Global Survey (25.4.2019). Bloomberg.
Pankkiala varautunut paremmin kriiseihin kuin 10 vuotta sitten (10.9.2018). Kauppalehti.