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Zur jüngeren Entwicklung der Buchkredite an nichtfinanzielle Unternehmen im Euro-Raum Monatsberichtsaufsatz September 2015
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What can EMU countries’ sovereign bond spreads tell us about market perceptions of default probabilities during the recent financial crisis? Niko Dötz, Christoph Fischer
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Bank risk taking and competition: evidence from regional banking markets Thomas Kick, Esteban Prieto
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The Forecasting Performance of German Stock Option Densities Ben R. Craig, Ernst Glatzer, Joachim G. Keller, Martin Scheicher
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Distributional effects of monetary policy Article from the Monthly Report September 2016
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The development of state government finances in Germany since 2005 Article from the Monthly Report October 2012
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Unconventional monetary policy, bank lending, and security holdings: the yield-induced portfolio rebalancing channel Karol Paludkiewicz
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Credit portfolio modelling and its effect on capital requirements Dilek Bülbül, Claudia Lambert
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