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NAIRU estimates for Germany: new evidence on the inflation unemployment trade-off Discussion paper 19/2010: Florian Kajuth
344 KB, PDF
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User costs of housing when households face a credit constraint – evidence for Germany Discussion paper 12/2010: Tobias Dümmler, Stephan Kienle
429 KB, PDF
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What can EMU countries’ sovereign bond spreads tell us about market perceptions of default probabilities during the recent financial crisis? Discussion paper 11/2010: Niko Dötz, Christoph Fischer
505 KB, PDF
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Deriving the term structure of banking crisis risk with a compound option approach: the case of Kazakhstan Discussion paper 01/2010: Stefan Eichler, Alexander Karmann, Dominik Maltritz
389 KB, PDF
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Money and monetary policy transmission in the euro area: evidence from FAVAR- and VAR approaches Discussion paper 18/2009: Barno Blaes
299 KB, PDF
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Estimating the impact of quality adjustment on consumer price inflation Discussion paper 49/2022: Jan-Oliver Menz, Elisabeth Wieland, Jens Mehrhoff
1 MB, PDF
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Are there disadvantaged clienteles in mutual funds? Discussion paper 11/2010: Stephan Jank
314 KB, PDF
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The information content of derivates for monetary policy Discussion paper 03/1995: Holger Neuhaus
4 MB, PDF
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Trend and cycle features in German residential investment before and after reunification Discussion paper 10/2010: Thomas A. Knetsch
316 KB, PDF
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Purchase and redemption decisions of mutual fund investors and the role of fund families Discussion paper 03/2010: Stephan Jank, Michael Wedow
196 KB, PDF