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Banks as investors in government bonds during the crisis – central bank-funded search for yield or de-risking? Research Brief | 36th edition – November 2020
Did German banks take on a particularly high level of risk during the financial crisis by investing in risky government bonds? A new study examines the behaviour of German banks between 2008 and 2014 and reveals that German banks – especially those that received government support and were comparatively undercapitalised – de-risked. This finding contrasts with the results of similar studies for banks in the euro area periphery countries.
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Monthly Report - December 2015
The December 2015 Monthly Report focuses on the outlook for the German economy based on macroeconomic projections for 2016 and 2017. It also contains an analysis of German enterprises’ profitability and financing conditions in 2014 as well as an article on deposit protection in Germany.
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Height, trade, and inequality in the Latin American periphery: 1950 - 2000 Baltzer M., Baten J.
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Balance of payments statistics - October 2017 Statistical Supplement 3 to the Monthly Report
1 MB, PDF
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Monthly Report - August 2015
The Monthly Report August 2015 comments on the economic situation in Germany in summer 2015.
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The growing importance of exchangetraded funds in the financial markets Article from the Monthly Report October 2018
400 KB, PDF