7.5.2014 publicerade Tankesmedjan Libera boken Eurons framtid – Finlands alternativ (på finska), samt en engelskspråkig synopsis av boken med rubriken The Future of the Euro – The Options for Finland. Boken är skriven av en finländsk grupp sakkunniga, EuroThinkTank, under ledning av professor Vesa Kanniainen.
EuroThinkTank-gruppens bloggtexter för Libera:
- Heikki Koskenkylä: Future of the EU and eurozone shrouded in uncertainty (5.5.)
- Jukka Ala-Peijari: Det finländska arbetet prissätts ut från marknaderna (23.4.)
- Tuomas Malinen: Kan den monetära unionen fungera utan en politisk union? (14.4.)
Bokens författare: EuroThinkTank-gruppen
Vesa Kanniainen (redaktör och ordförande för EuroThinkTank)
The founder or the EuroThinkTank, Vesa Kanniainen is Professor of Economics at the University of Helsinki. He studied at the London School of Economics and has been teaching as Visiting Assistant Professor at Brown University and Washington State University. Most of his academic life, he has been working at the University of Helsinki. He has given courses at Uppsala University, the University of Munich and at Hamburg University. He is an active research fellow at CESifo in Munich.
M.Sc. (Econ.), CEO and consultant at Euronomics Ltd. Previously economist, assistant professor and lecturer at the University of Tampere. Has published several books on economics.
M.Sc. (Econ.), civil servant engaged in economic research, with prior experience inter alia from the OECD, UNU/WIDER and the IMF. Ms Berghäll is an expert on topics such capital flows and innovation economics.
M.Sc. (Econ.), attends the University of Helsinki’s doctoral program specializing on bank research. Consultant and entrepreneur.
Dr. (Econ.), consultant, former head of the Financial markets department at the Bank of Finland
PhD (Econ.), University of California. Teacher at Metropolia University of Applied Sciences. Previously professor at Tampere University of Technology, Helsinki University and economist at the Government Institute of Economic Research. Research expert called by the European Commission.
M.Sc. (Tech.), M.Sc. (Econ.), Research Director at Libera. 11 years of financial markets experience. Previously Director at RBS in London, Senior Analyst at Nordea in Finland and Denmark. Specialties: capital markets and derivatives.
Dr. (Econ.), postdoctoral researcher at the Helsinki Center of Economic Research, University of Helsinki.
Lic.Pol.Sc. (Statistics), M.Sc. (Math.) is retired. Has taught statistics and mathematics at the University of Helsinki and at the Aalto University School of Science and has been active in several scientific organizations. Still active in statistical research and in instructing post graduate students.
M.Sc. (Econ.), MBA, CFA, investment banker at Sisu Partners and Nordic Trustee. Formerly at e.g. Credit Suisse, RBS, SEB and Nordea.
Dr. (Econ.), retired Director General Financial Services at the finance ministry and previous Advisor to the Board at the Bank of Finland. He has also worked at the IMF and with an inquiry into the causes of the banking crisis in Ireland.
M.Sc. (Econ.), M.Sc. (Tech.) has been active in the financial industry for the last 25 years, as CEO and Founding Partner for Alandsbanken Asset Management. In Finland he is known as the domestic Dr Doom, but Stefan himself thinks that he has been a realist.