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Macroeconomic Factors and Micro-Level Bank Risk Buch C., Eickmeier S., Prieto E.
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Schätzung linearer Panelmodelle mit anonymisierten Betriebs- und Unternehmensdaten Biewen E.
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Empirische Analyse der Abhängigkeiten zwischen Realen und Finanzwirtschaftlichen Schocks. Hertrich M.
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A New Framework for Fiscal Policy Consolidation in Europe Bofinger P., Ried S.
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A new framework for fiscal policy consolidation in Europe Bofinger P., Ried S.
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Macro Risk Premium and Intermediary Balance Sheet Quantities Adrian T., Moench E., Shin H.S.
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Why is the Market Share of Adjustable-Rate Mortgages so Low? Aragon D., Moench E., Vickery J.
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Viscoelastic Behavior of Stock Indices Gündüz G., Gündüz Y.