In this report, we evaluate the risk exposures of the Finnish state guarantee portfolio in terms of its two main components: the guarantees for export credits and guarantees for the domestic housing market. We find that even though the proportional shares to GDP of both these components in the overall state guarantee portfolio, and especially that of export guarantees, have increased considerably in recent years, the risks are not completely in line with the actual sizes or GDP shares of the positions if the real economic and financial market developments (globally and in Finland) follow the current path. The main ingredient of the export guarantee exposure of Finnvera plc is the high concentration of guarantees in certain firms and industr...
In the first chapter the paper is focused on sovereign rating, it describes the history and explains...
This thesis studies systematic risk factors and return predictability in the Finnish stock market. T...
Following a period of rapid financial liberalization and a record credit boom in the 1980s, Finland’...
Many countries offer state credit guarantees to support credit-constrained exporters. The policy ins...
Many countries offer state credit guarantees to support credit-constrained exporters. The policy ins...
Financing trade between economic agents located in different countries is affected by many types of ...
If the current situation could be described in one word, it would be ‘uncertainty’. In times of glob...
Using conditional international asset pricing models, this paper investigates whether global market ...
The purpose of the thesis was to examine whether there are significant risk factors in the Finnish h...
All companies face risk in their daily business. Internationalised companies tend to experience high...
Thesis political risk in Finland will explain the real nature of the financial crisis in Finland in ...
Both academia and practitioners long shared the belief that default on the part of a sovereign entit...
Default of a sovereign entity was usually considered an extremely rare event. Similarly, countries w...
The object of the insurance of export credits risks, endangering the claims settlement in behalf o...
The dissertation compares the export credit rating model of the national Export Guarantee and Insura...
In the first chapter the paper is focused on sovereign rating, it describes the history and explains...
This thesis studies systematic risk factors and return predictability in the Finnish stock market. T...
Following a period of rapid financial liberalization and a record credit boom in the 1980s, Finland’...
Many countries offer state credit guarantees to support credit-constrained exporters. The policy ins...
Many countries offer state credit guarantees to support credit-constrained exporters. The policy ins...
Financing trade between economic agents located in different countries is affected by many types of ...
If the current situation could be described in one word, it would be ‘uncertainty’. In times of glob...
Using conditional international asset pricing models, this paper investigates whether global market ...
The purpose of the thesis was to examine whether there are significant risk factors in the Finnish h...
All companies face risk in their daily business. Internationalised companies tend to experience high...
Thesis political risk in Finland will explain the real nature of the financial crisis in Finland in ...
Both academia and practitioners long shared the belief that default on the part of a sovereign entit...
Default of a sovereign entity was usually considered an extremely rare event. Similarly, countries w...
The object of the insurance of export credits risks, endangering the claims settlement in behalf o...
The dissertation compares the export credit rating model of the national Export Guarantee and Insura...
In the first chapter the paper is focused on sovereign rating, it describes the history and explains...
This thesis studies systematic risk factors and return predictability in the Finnish stock market. T...
Following a period of rapid financial liberalization and a record credit boom in the 1980s, Finland’...