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M.Sc. (Econ.) Ph.D. Candidate GSF member |
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Major professional interests and specialities
Capital markets
Market microstructure
Term structure of interest rates
Contact information
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Teaching
Yrityksen investointi- ja rahoituspäätökset
Rahoitusmarkkinat ja sijoitustoiminta Tehtävä Data
Pro gradu tutkielmatyöskentely
Publications
Sihvonen, J. (2012). “Shivers and Shrugs in Financial Markets: The First FOMC Press Conference on Monetary Policy”.
Sihvonen, J. and S. Vähämaa (2012). “Forward-Looking Monetary Policy Rules and Option-Implied Interest Rate Expectations”. SSRN.
Ejsing, J. and Sihvonen, J. (2009). “Liquidity Premia in German Government Bonds”, European Central Bank Working Paper Series No. 1081.
Sihvonen, J. (2008). “The cheapest-to-deliver premium in German Bund prices”; SSRN.




