Markus Sihvonen is a research economist at Bank of Finland. His research interests lie in financial economics as well as international macroeconomics and finance. He is particularly interested in the determination of interest and FX rates and the macroeconomic effects of financial market integration. His work has been published in journals such as Journal of International Economics, Journal of Economic Theory and Review of Finance.
VoxEU Column
Yield curve momentum: Implications for theory and practice
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- Financial Markets
VoxEU Column
Sticky expectations: A unified explanation for bond and currency puzzles
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- Exchange Rates ![](../../../../../../../../../../var/folders/34/zq18d8kx7kbgby0j06p_j6t40000gn/T/TemporaryItems/NSIRD_screencaptureui_EM2XPo/Screenshot 2022-01-04 at 17.01.16.png)
- Monetary Policy