General Search
Multiple search words are automatically linked with "AND". Text enclosed in quotation marks (") returns only the pages in which this text occurs exactly. With the search filters next to the results you have the possibility to further limit your search.
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Money-based interest rate rules: lessons from German data Discussion paper 06/2007: Christina Gerberding, Franz Seitz, Andreas Worms
336 KB, PDF
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Financial Stability Review 2012
1 MB, PDF
The European sovereign debt crisis remains the greatest threat to financial stability in Germany. The Bundesbank considers that a substantial worsening of the situation would have a significant adverse impact on German banks and insurers. In addition, low interest rates, high liquidity and potential exaggerations in the German real estate market could pose a future threat to financial stability.
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Monthly Report - January 2012
The January 2012 monthly report contains: Long-term developments in corporate financing in Germany – evidence based on the financial accounts; The PHF: a survey of household wealth
and finances in Germany; The European single market in payments nearing completion. -
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The international and European setting Article from the Monthly report May 2002
338 KB, PDF
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Monthly Report - April 2012
The April 2012 monthly report contains: Potential growth of the German economy – medium-term outlook against the backdrop of demographic strains; The European Systemic Risk Board: from institutional foundation to credible macroprudential oversight
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