Diskussionspapiere
Die Diskussionspapiere mit ökonomischen Studien oder Finanz- und Bankenstudien werden vom Forschungszentrum der Bundesbank erarbeitet.
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Banks, markets, and financial stability Discussion paper 31/2014: Armin Eder, Falko Fecht, Thilo Pausch
844 KB, PDF
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International capital flows, external assets and output volatility Discussion paper 30/2014: Mathias Hoffmann, Michael Krause, Peter Tillmann
597 KB, PDF
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A one-off wealth levy? Assessing the pros, the cons and the importance of credibility Discussion paper 29/2014: Gerhard Kempkes, Nikolai Stähler
477 KB, PDF
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Contingent convertible bonds and the stability of bank funding: the case of partial writedown Discussion paper 28/2014: Dirk Bleich
329 KB, PDF
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How is the low-interest-rate environment affecting the solvency of German life insurers? Discussion paper 27/2014: Anke Kablau, Matthias Weiß
290 KB, PDF
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Wie wirkt sich das Niedrigzinsumfeld auf die Solvabilität der deutschen Lebensversicherer aus? Diskussionspapier 27/2014: Anke Kablau, Matthias Weiß
389 KB, PDF
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Bank capital, the state contingency of banks’ assets and its role for the transmission of shocks Discussion paper 25/2014: Michael Kühl
1 MB, PDF
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Inflation, deflation, and uncertainty: What drives euro area option-implied inflation expectations and are they still anchored in the sovereign debt crisis? Discussion paper 24/2014: Michael Scharnagl, Jelena Stapf
1 MB, PDF
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Contagious herding and endogenous network formation in financial networks Discussion paper 23/2014: Co-Pierre Georg
624 KB, PDF
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A network analysis of the evolution of the German interbank market Discussion paper 22/2014: Tarik Roukny, Co-Pierre Georg, Stefano Battiston
709 KB, PDF
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Do correlated defaults matter for CDS premia? An empirical analysis Discussion paper 21/2014: Christian Koziol, Philipp Koziol, Thomas Schön
548 KB, PDF
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The multivariate option iPoD framework - assessing systemic financial risk Discussion paper 20/2014: Philipp Matros, Johannes Vilsmeier
1 MB, PDF
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Mitigating financial stress in a bank-financed economy: equity injections into banks or purchases of assets? Discussion paper 19/2014: Michael Kühl
1 MB, PDF
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Interbank lending and distress: observables, unobservables, and network structure Discussion paper 18/2014: Ben R. Craig, Michael Koetter, Ulrich Krüger
2 MB, PDF
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International banking and liquidity risk transmission: lessons from across countries Discussion paper 17/2014: Claudia M. Buch, Linda S. Goldberg
779 KB, PDF
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Household saving behavior and credit constraints in the Euro area Discussion paper 16/2014: Julia Le Blanc, Alessandro Porpiglia, Federica Teppa, Junyi Zhu, Michael Ziegelmeyer
793 KB, PDF
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Quantifying the components of the banks' net interest margin Discussion paper 15/2014: Ramona Busch, Christoph Memmel
395 KB, PDF
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Collateral imbalances in intra-European trade? Accounting for the differences between gross and value added trade balances Discussion paper 14/2014: Arne J. Nagengast, Robert Stehrer
827 KB, PDF
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Consumer cash usage: a cross-country comparison with payment diary survey data Discussion paper 13/2014: John Bagnall, David Bounie, Kim P. Huynh, Anneke Kosse, Tobias Schmidt, Scott Schuh, Helmut Stix
279 KB, PDF
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How do households allocate their assets? – Stylized facts from the Eurosystem Household Finance and Consumption Survey Discussion paper 12/2014: Luc Arrondel, Laura Bartiloro, Primin Fessler, Peter Lindner, Thomas Y. Mathä, Cristiana Rampazzi, Frederique Savignac, Tobias Schmidt, Martin Schürz, Philip Vermeulen
756 KB, PDF
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Analyzing business and financial cycles using multi-level factor models Discussion paper 11/2014: Jörg Breitung, Sandra Eickmeier
395 KB, PDF
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A consistent set of multilateral productivity approach-based indicators of price competitiveness Discussion paper 10/2014: Christoph Fischer, Oliver Hossfeld
436 KB, PDF
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Market transparency and the marking precision of bond mutual fund managers Discussion paper 09/2014: Gjergji Cici, Scott Gibson, Yalin Gündüz, John J. Merrick, Jr.
1019 KB, PDF
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The financial accelerator and market-based debt instruments: a role for maturities? Discussion paper 08/2014: Michael Kühl
3 MB, PDF
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Wealth shocks, credit-supply shocks, and asset allocation: evidence from household and firm portfolios Discussion paper 07/2014: Thomas Kick, Enrico Onali, Benedikt Ruprecht, Klaus Schaeck
548 KB, PDF
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Lucas paradox and allocation puzzle - is the euro area different? Discussion paper 06/2014: Sabine Herrmann, Jörn Kleinert
1 MB, PDF
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Earnings baths by bank CEOs during turnovers Discussion paper 05/2014: Sven Bornemann, Thomas Kick, Andreas Pfingsten, Andrea Schertler
600 KB, PDF
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Cash management and payment choices: a simulation model with international comparisons Discussion paper 04/2014: Carlos Arango, Yassine Bouhdaoui, David Bounie, Martina Eschelbach, Lola Hernández
1 MB, PDF
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Investor fears and risk premia for rare events Discussion paper 03/2014: Claudia Schwarz
737 KB, PDF
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Filling in the blanks: network structure and interbank contagion Discussion paper 02/2014: Kartik Anand, Ben R. Craig, Goetz von Peter
718 KB, PDF
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The distribution of debt across euro area countries: the role of individual characteristics, institutions and credit conditions Discussion paper 01/2014: Olympia Bover, Jose Maria Casado, Sonia Costa, Philip Du Caju, Yvonne McCarthy, Eva Sierminska, Panagiota Tzamourani, Ernesto Villanueva, Tibor Zavadil
3 MB, PDF
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Cost leadership and bank internationalization Discussion paper 57/2013: Rients Galema, Michael Koetter, Caroline Liesegang
1 MB, PDF
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Market timing, maturity mismatch, and risk management: evidence from the banking industry Discussion paper 56/2013: Benedikt Ruprecht, Oliver Entrop, Thomas Kick, Marco Wilkens
2 MB, PDF
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Bank leverage cycles and the external finance premium Discussion paper 55/2013: Ansgar Rannenberg
827 KB, PDF
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The role of interbank relationships and liquidity needs Discussion paper 54/2013: Ben R. Craig, Falko Fecht, Günseli Tümer-Alkan
964 KB, PDF
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Banks’ concentration versus diversification in the loan portfolio: new evidence from Germany Discussion paper 53/2013: Nadya Jahn, Christoph Memmel, Andreas Pfingsten
422 KB, PDF
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Does expenditure composition influence the debt level? Evidence from German federal states Discussion paper 52/2013: Dan Stegarescu
297 KB, PDF
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Learning about fiscal policy and the effects of policy uncertainty Discussion paper 51/2013: Josef Hollmayr, Christian Matthes
738 KB, PDF
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Real financial market exchange rates and capital flows Discussion paper 50/2013: Maria Gelman, Axel Jochem, Stefan Reitz
214 KB, PDF
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Current account adjustment in EU countries: Does euro-area membership make a difference? Discussion paper 49/2013: Sabine Herrmann, Axel Jochem
726 KB, PDF
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Changing forces of gravity: how the crisis affected international banking Discussion paper 48/2013: Claudia M. Buch, Katja Neugebauer, Christoph Schröder
596 KB, PDF
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Cash holdings of German open-end equity funds: Does ownership matter? Discussion paper 47/2013: Niko Dötz, Mark Weth
1 MB, PDF
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Assessing house prices in Germany: evidence from an estimated stock-flow model using regional data Discussion paper 46/2013: Florian Kajuth, Thomas A. Knetsch, Nicolas Pinkwart
4 MB, PDF
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Monetary policy and stock market volatility Discussion paper 45/2013: Dirk Bleich, Ralf Fendel, Jan-Christoph Rülke
530 KB, PDF
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Collateral requirements and asset prices Discussion paper 44/2013: Johannes Brumm, Michael Grill, Felix Kubler, Karl Schmedders
453 KB, PDF
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Disentangling economic recessions and depressions Discussion paper 43/2013: Bertrand Candelon, Norbert Metiu, Stefan Straetmans
477 KB, PDF
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Is proprietary trading detrimental to retail investors? Discussion paper 42/2013: Falko Fecht, Andreas Hackethal, Yigitcan Karabulut
679 KB, PDF
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Interest rate risk and the Swiss solvency test Discussion paper 41/2013: Armin Eder, Sebastian Keiler, Hannes Pichl
633 KB, PDF
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How stressed are banks in the interbank market? Discussion paper 40/2013: Puriya Abbassi, Falko Fecht, Patrick Weber
389 KB, PDF