Publications in English

Nonlinearity and cross-country dependence of income inequality“. With Leena Kalliovirta. Review of Income and Wealth (conditional acceptance).

Malinen, T., K. Kirschenmann and H. Nyberg (2016). “The risk of financial crises: Is there a role for income inequality?”. Journal of International Money and Finance, 68: 161-180. Riskofcrisesdata.

Malinen, T (2016). “Does income inequality contribute to credit cycles? Journal of Economic Inequality, 14(3): 309-325.

Malinen, T. and M. Lof (2014). “Does sovereign debt weaken economic growth? A Panel VAR analysis”. Economics Letters, 122(3): 403-407. Dataset.

Malinen, T. (2013). “Inequality and growth: another look with a new measure and method”.Journal of International Development, 25(1): 122-138.

Malinen, T. (2013). “Inequality, savings and consumption: a reassessment of the relationships in cointegrated panels”. Applied Economics Quarterly, 59(3): 235-252.

Malinen, T. (2012). “Estimating the long-run relationship between income inequality and economic development”. Empirical Economics, 42(1): 209-233. Dataset.

Malinen, T. and P. Hämäläinen (2011). “The relationship between regional value added and public capital in Finland: what do the new panel econometric techniques tell us?” Empirical Economics,40(1): 237-252.