Kimmo Virolainen
Bank of Finland(FI)
Publications by Year
Research Areas
Banking stability, regulation, efficiency, Credit Risk and Financial Regulations, Monetary Policy and Economic Impact, Risk Management in Financial Firms, Corporate Taxation and Avoidance
Most-Cited Works
- → A comparative analysis of macro stress-testing methodologies with application to Finland(2005)145 cited
- → Macro Stress Testing with a Macroeconomic Credit Risk Model for Finland(2004)122 cited
- → Macro-Model-Based Stress Testing of Basel II Capital Requirements(2008)18 cited
- → Process chemicals – An ever present concern during plant shutdowns(2009)17 cited
- → Macroprudential Policy and Household Debt: What Is Wrong with Swedish Macroprudential Policy?(2020)16 cited
- Financial stability analysis at the Bank of Finland(2001)
- Determinants of corporate financial policy : theory and evidence on Finnish data(1990)
- Tax incentives and corporate borrowing : evidence from Finnish company panel data(1998)
- → Payment and Settlement Systems in Finland 1995(1996)2 cited