Browsing All of EconStor by Author Ristolainen, Kim
Showing results 1 to 9 of 9
Year of Publication | Title | Author(s) |
2015 | The relationship between distance-to-default and CDS spreads as measures of default risk for European banks | Ristolainen, Kim |
2015 | Were the Scandinavian Banking Crises Predictable? A Neural Network Approach | Ristolainen, Kim |
2018 | Getting better? The effect of the single supervisory mechanism on banks' loan loss reporting and loan loss reserves | Ristolainen, Kim |
2020 | Are bank capital requirements optimally set? Evidence from researchers' views | Ambrocio, Gene; Hasan, Iftekhar; Jokivuolle, Esa; Ristolainen, Kim |
2021 | A thousand words tell more than just numbers: Financial crises and historical headlines | Ristolainen, Kim; Roukka, Tomi; Nyberg, Henri |
2022 | What should the inflation target be? Views from 600 economists | Ambrocio, Gene; Ferrero, Andrea; Jokivuolle, Esa; Ristolainen, Kim |
2022 | Narrative triggers of information sensitivity | Ristolainen, Kim |
2024 | Exchange rate narratives | Cormun, Vito; Ristolainen, Kim |
2024 | Exchange rate narratives | Cormun, Vito; Ristolainen, Kim |