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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Monthly Report - June 2012
The June 2012 monthly report contains: Outlook for the German economy – macroeconomic projections for 2012 and 2013; The price of crude oil and its impact on economic activity in the industrial countries; The role of the “Basel interest rate shock” in the supervisory assessment of interest rate risks in the banking book.
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Monthly Report - April 2015
The April 2015 Bundesbank Monthly Report contains articles on labour market-related government expenditure, structural changes in the German banking sector and transaction-related circulation trends in euro coins in Germany.
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Monthly Report - December 2011
The December 2011 monthly report contains: Outlook for the German economy – macroeconomic projections for 2012 and 2013; German enterprises' profitability and financing in 2010; Direct investment and financial constraints before and during the financial crisis.
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Monthly Report - July 2011
The July 2011 monthly report contains: Developments in the exports of the four largest euro-area member states since the launch of monetary union; Leasing financing in Germany; Reliability and revision profile of selected German economic indicators; Deutsche Bundesbank Spring Conference 2011 – fiscal and monetary policy challenges in the short and long run.
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Monthly Report - June 2011
The June 2011 monthly report contains: Outlook for the German economy – macroeconomic projections for 2011 and 2012; Sovereign yield spreads in the euro area; Extended MFI interest rate statistics: methodology and first results; Fundamental features of the German Bank Restructuring Act.
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Monthly Report - January 2018
The January 2018 edition of the Monthly Report describes how the internationalisation of German firms is impacting on domestic investment and analyses the importance of banks’ profitability and capital for monetary policy. It also looks at developments in corporate financing in the euro area and includes an article on the finalisation of Basel III.
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Monatsbericht - Juli 2014
Der Monatsbericht Juli 2014 enthält einen Beitrag zu dem Thema Wechselkurse und Finanzstress und beschreibt die Entwicklung der gesetzlichen Krankenversicherung und die damit zusammenhängenden Herausforderungen für die Zukunft. Ferner werden Konzeption und erste Ergebnisse der Konzernabschlussstatistik als Beitrag zur erweiterten Unternehmensanalyse beschrieben sowie die Bedeutung der Versicherungswirtschaft für die Finanzstabilität untersucht.
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Monthly Report - June 2014
The June 2014 edition of the Monthly Report explains – beside the outlook for the German economy as macroeconomic projections for 2014 and 2015 – Europe’s new recovery and resolution regime for credit institutions. It furthermore comments on the changes in the methodology and classification of the balance of payments and the international investment position. In the end, cash withdrawals at the point of sale against the background of motives for use and implications for cash holding are described.
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Erläuterungen zur „Strukturreform“ durch das 7. Gesetz zur Änderung des Gesetzes über die Deutsche Bundesbank Monatsberichtsaufsatz – Mai 2002
2 MB, PDF
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Monthly Report - July 2016
The July 2016 edition of the Monthly Report describes how the Bank Lending Survey has evolved since the onset of the financial crisis and analyses approaches to containing sovereign debt crises in the euro area. It also discusses two new minimum prudential standards – total loss-absorbing capacity (TLAC) and the minimum requirement for own funds and eligible liabilities (MREL) – in connection with the resolution and restructuring of banks.
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Money in a New-Keynesian model estimated with german data Discussion paper 15/2003: Jana Kremer, Giovanni Lombardo, Thomas Werner
336 KB, PDF
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Monthly Report - April 2014
The Monthly Report April 2014 comments on the reliability of international organisations' estimates of the output gap as well as on the implications of the Eurosystem's monetary operations during the financial crisis. Furthermore, some approaches to explaining the behaviour of inflation since the last financial and economic crisis are described.
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Monthly Report - September 2017
The September 2017 Monthly Report contains an article on monetary policy indicators at the zero lower bound on the basis of term structure models, and an analysis of the performance of German credit institutions in 2016. Explanations are also provided on the potential and risks of distributed ledger technologies in payments and securities settlement and on the changes and results in the process of extending the investment fund statistics.
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Der Informationsgehalt von Umfragedaten zur erwarteten Preisentwicklung für die Geldpolitik Diskussionspapier 09/2001: Christina Gerberding
240 KB, PDF
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Monthly Report - July 2017
The July 2017 edition of the Monthly Report describes the market for bonds issued by non-financial corporations in the low-interest-rate environment and developments in government interest expenditure in Germany and other euro area countries. It also contains articles on private interest income developments, taking into account inflation and taxes, as well as on the threats to the global economy posed by protectionist tendencies. Finally, the report also introduces the latest innovations in the monetary financial institutions’ (MFI) interest rate statistics.
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Monthly Report - June 2013
The Monthly Report for June 2013 outlines the outlook for the German economy in 2013 and 2014 and includes an article on household wealth and finances in Germany based on the results of a Bundesbank study as well as a report on the implementation of Basel III in European and national law.
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Monthly Report - December 2012
The December 2012 monthly report gives an outlook for the German economy for 2013 and 2014, elaborates on German enterprises’ profitability and financing in 2011 and explains calendar effects on economic activity.
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Monthly Report - September 2012
The September 2012 monthly report contains: The performance of German credit institutions in 2011; Innovations in payment systems; The International Monetary Fund in a changed global environment.
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The Relationship between the Federal Funds Rate and the Fed's Funds Rate Target: Is it Open Market or Open Mouth Operations? Discussion paper 09/2000: Daniel L. Thornton
263 KB, PDF
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Monthly Report - September 2013
The September 2013 Monthly Report explains the performance of German credit institutions in 2012 and the development of government interest expenditure in Germany. In addition, a workshop report to predictive models in the short-term economic analysis is included.
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