| Commodity market based hedging against stock market risk in times of financial crisis: The case of crude oil and gold J Junttila, J Pesonen, J Raatikainen Journal of International Financial Markets, Institutions and Money 56, 255-280, 2018 | 273 | 2018 |
| On the stability of stablecoins K Grobys, J Junttila, JW Kolari, N Sapkota Journal of Empirical Finance 64, 207-223, 2021 | 137 | 2021 |
| The role of inflation regime in the exchange rate pass-through to import prices J Junttila, M Korhonen International Review of Economics & Finance 24, 88-96, 2012 | 94 | 2012 |
| Speculation and lottery-like demand in cryptocurrency markets K Grobys, J Junttila Journal of International Financial Markets, Institutions and Money 71, 101289, 2021 | 92 | 2021 |
| Structural breaks, ARIMA model and Finnish inflation forecasts J Junttila International Journal of Forecasting 17 (2), 203-230, 2001 | 90 | 2001 |
| Small fish in big ponds: Connections of green finance assets to commodity and sectoral stock markets MA Naeem, S Karim, GS Uddin, J Junttila International Review of Financial Analysis 83, 102283, 2022 | 82 | 2022 |
| How does the financial environment affect the stock market valuation of R&D spending? GG Booth, J Junttila, JP Kallunki, M Rahiala, P Sahlström Journal of Financial Intermediation 15 (2), 197-214, 2006 | 81 | 2006 |
| Economic policy uncertainty effects for forecasting future real economic activity J Junttila, J Vataja Economic Systems 42 (4), 569-583, 2018 | 67 | 2018 |
| Testing an augmented fisher hypothesis for a small open economy: The case of Finland J Junttila Journal of Macroeconomics 23 (4), 577-599, 2001 | 56 | 2001 |
| Stock market response to analysts' perceptions and earnings in a technology-intensive environment J Junttila, JP Kallunki, A Kärja, M Martikainen International review of financial analysis 14 (1), 77-92, 2005 | 41 | 2005 |
| Emerging market contagion under geopolitical uncertainty A Hedström, N Zelander, J Junttila, GS Uddin Emerging Markets Finance and Trade 56 (6), 1377-1401, 2020 | 39 | 2020 |
| Stock market and exchange rate information in the Taylor rule: Evidence from OECD countries K Heimonen, J Junttila, S Kärkkäinen International Review of Economics & Finance 51, 1-18, 2017 | 39 | 2017 |
| Utilizing financial market information in forecasting real growth, inflation and real exchange rate J Junttila, M Korhonen International Review of Economics & Finance 20 (2), 281-301, 2011 | 30 | 2011 |
| Dependence between renewable energy related critical metal futures and producer equity markets across varying market conditions E Borg, I Kits, J Junttila, GS Uddin Renewable Energy 190, 879-892, 2022 | 26 | 2022 |
| Nonlinearity and time-variation in the monetary model of exchange rates J Junttila, M Korhonen Journal of Macroeconomics 33 (2), 288-302, 2011 | 25 | 2011 |
| Do commodity assets hedge uncertainties? What we learn from the recent turbulence period? MB Hasan, MN Hossain, J Junttila, GS Uddin, MR Rabbani Annals of Operations Research, 1-34, 2022 | 24 | 2022 |
| Keep the faith in banking: New evidence for the effects of negative interest rates based on the case of Finnish cooperative banks J Junttila, J Perttunen, J Raatikainen International Review of Financial Analysis 75, 101724, 2021 | 24 | 2021 |
| Does corn market uncertainty impact the US ethanol prices? A Dutta, E Bouri, J Junttila, GS Uddin Gcb Bioenergy 10 (9), 683-693, 2018 | 23 | 2018 |
| Pricing of electricity futures based on locational price differences: The case of Finland J Junttila, V Myllymäki, J Raatikainen Energy economics 71, 222-237, 2018 | 22 | 2018 |
| Impacts of sovereign risk premium on bank profitability: Evidence from euro area J Junttila, VCS Nguyen International Review of Financial Analysis, https://doi.org/10.1016/j.irfa …, 2022 | 21 | 2022 |