Bank of Finland - Bulletin
n° 5/2011
- Préface, pp. 1-2
- Bank of Finland forecasts, p. 3
- Executive summary, pp. 4-6
- Recent developments, pp. 7-9
- Box 1. National accounts for the third quarter of 2011, p. 10
- Box 2. Model for short-term forecasting of GDP, p. 11
- Operating environment, pp. 14-21
- Non-financial corporations, pp. 21-27
- Box 3. Corporate profitability by sector in Finland, pp. 24
- Households, pp. 27-29
- GDP and employment, pp. 29-35
- Box 4. Estimating potential output is a challenging task, p. 33
- Public finances, p. 36-43
- Box 5. Finland’s public finances, pp. .39
- External balance, pp. 44-45
- Wage and price trends, pp. 45-51
- Box 6. Structural features and competition in the distributive trades sector: impact on euro area prices, pp. 47
- Risk assessment, pp. 51-58
- Box 7. Alternative scenario: debt crisis escalates into global recession, pp. .54
- Changes from the previous forecast, pp. 58-60
- Financial stability, pp. 61-74
- MÄKI-FRÄNTI Petri - Finnish households’ economic margin, pp. 75-83
- KINNUNEN Helvi, RAILAVO Jukka - Analysis of the macroeconomic effects of population ageing using a general equilibrium model, pp. 85-93
n° 4/2011
- Monetary policy and the global economy, pp. 1-26
- KINNUNEN Helvi, PALOVIITA Maritta - Fiscal policy responses of euro area countries, pp. 27-36
- VÄLIMÄKI Tuomas - Central banking and balance sheet risks, pp. 37-48
- HUKKINEN Juhana, KAUKO Karlo - Macroprudential policy tools, pp. 49-55
n° 3/2011
- Preface, p.1
- Bank of Finland forecasts, p. 3
- Executive summary , pp. 4-5
- Recent development , pp. 6-10
- Box 1. National accounts for the first quarter of 2011, p. 9
- Operating environment, pp. 10-16
- Box 2. Recent euro area monetary policy, p. 14
- Non-financial corporations, pp.17-19
- Households, pp. 19-21
- GDP and employment, pp. 21-24
- Box 3. Job-matching in the labour market after the recession, p. 24
- Public finances, pp. 25-32
- Box 4. Medium-term outlook for public finances, p. 28
- Box 5. Central and local government financial assets, p. 30
- External balance, pp. 32-36
- Box 6. Finland’s net international investment position has improved by less than the current account surpluses indicate, p. 33
- Price and wage trends, pp. 36-40
- Box 7. Inflation higher in Finland than in the euro area, p. 38
- Risk assessment, pp. 40-48
- Box 8. Alternative scenario: an increase in domestic wage and price pressures, p. 43
- Changes from the previous forecast, p. 47
- KINNUNEN Helvi, MÄKI-FRÄNTI Petri - Long-term supply of labour, pp. 49-57
- NEWBY Elisa, RAILAVO Jukka, RIPATTI Antti - An estimated general equilibrium model for forecasting, pp. 58-66
- NEWBY Elisa, ORJASNIEMI Seppo - Bank of Finland’s forecast errors in 2004–2010, pp. 67-74
n° 2/2011
- Preface, p. 1
- Summary, pp. 2-5
- Operating environment, pp. 6-16
- Banking and insurance sector, pp. 17-29
- Financial market infrastructure, pp. 30-35
- Financial system policy, pp. 36-47
Appendix.
- Infrastructure critical to the Finnish financial market, p. 48
n° 1/2011
- Monetary policy and the global economy , pp. 1-18
- Finland’s economic outlook 2011–2013, pp. 19-36
- How can we indentify risks to macrostability? pp. 38-50
- Macroprudential policy and its relationship to monetary policy, pp. 52-66
- New facilities help safeguard financial stability in Europe, pp. 67-75
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