The Delphi method in forecasting financial markets—An experimental study K Kauko, P Palmroos International Journal of Forecasting 30 (2), 313-327, 2014 | 161 | 2014 |
External deficits and non-performing loans in the recent financial crisis K Kauko Economics Letters 115 (2), 196-199, 2012 | 159 | 2012 |
How to foresee banking crises? A survey of the empirical literature K Kauko Economic Systems 38 (3), 289-308, 2014 | 105 | 2014 |
Managers and efficiency in banking K Kauko Journal of banking & finance 33 (3), 546-556, 2009 | 81 | 2009 |
Household loan loss risk in Finland-Estimations and simulations with micro data R Herrala, K Kauko Bank of Finland Research Discussion Paper, 2007 | 75 | 2007 |
Central bank digital currency A Grym, P Heikkinen, K Kauko, K Takala | 73 | 2017 |
Effectiveness of R & D subsidies—a sceptical note on the empirical literature K Kauko Research policy 25 (3), 321-323, 1996 | 70 | 1996 |
Comparing different early warning systems: Results from a horse race competition among members of the macro-prudential research network L Alessi, A Antunes, J Babecký, S Baltussen, M Behn, D Bonfim, O Bush, ... | 60 | 2015 |
Interlinking securities settlement systems: a strategic commitment? K Kauko Journal of Banking & Finance 31 (10), 2962-2977, 2007 | 59 | 2007 |
Triggers for countercyclical capital buffers K Kauko | 22 | 2012 |
The New Basel Accord: some potential implications of the new standards for credit risk E Jokivuolle, K Kauko Bank of Finland Working Paper, 2001 | 21 | 2001 |
Why is equity capital expensive for opaque banks? K Kauko Bank of Finland Research Discussion Paper, 2012 | 17 | 2012 |
Testing the global banking glut hypothesis MT Punzi, K Kauko Journal of Financial Stability 19, 128-151, 2015 | 14 | 2015 |
Links between securities settlement systems: An oligopoly theoretic approach K Kauko The Structure of Financial Regulation, 426-447, 2007 | 13 | 2007 |
Do bailouts cause moral hazards or franchise value in banking? K Kauko Kyklos 67 (1), 82-92, 2014 | 12 | 2014 |
Bank interest rates in a small European economy: Some exploratory macro level analyses using Finnish data K Kauko Bank of Finland Research Discussion Paper, 2005 | 12 | 2005 |
The ineffectiveness of R&D subsidies—An oligopoly theoretic insight K Kauko Review of Industrial Organization 11 (3), 401-412, 1996 | 12 | 1996 |
Links between securities settlement systems: An oligopoly theoretic approach K Kauko Bank of Finland Working Paper, 2002 | 10 | 2002 |
Why is equity capital expensive for banks K Kauko Bank of Finland Research Discussion Paper, Helsinki, 2012 | 8 | 2012 |
On the long-run calibration of the credit-to-GDP gap as a banking crisis predictor K Kauko, E Tölö Bank of Finland Research Discussion Paper, 2019 | 7 | 2019 |