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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Ertragslage und Finanzierungsverhältnisse deutscher Unternehmen im Jahr 2007 Monatsberichtsaufsatz Januar 2009
310 KB, PDF
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The Basel Framework in practice - implementing the Basel advanced approaches in Germany Article from the Monthly report January 2009
325 KB, PDF
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Bekanntmachung von Geschäftsbedingungen der Deutschen Bundesbank Mitteilung Nr. 2001/2009
82 KB, PDF
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Early Warning System for Economic and Financial Risks in Kazakhstan Bhattacharyay B., Dlugosch D., Kolb B., Lahiri K., Mukhametov I., Nerb G.
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Monetary policy and inflationary shocks under imperfect credibility Darracq Paries M., Moyen S.
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Has the monetary transmission process in the euro area changed? Evidence based on VAR estimates Weber A.A., Gerke R., Worms A.
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Choosing and Using Payment Instruments: Evidence from German Microdata von Kalckreuth U., Schmidt T., Stix H.
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Finanzierungsstrukturen und makroökonomische Stabilität in den Ländern Südosteuropas, der Türkei und in den GUS-Staaten Vogel U., Winkler A.
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Are Private Equity Investors Good or Evil? Badunenko O., Barasinska N. and Schäfer D.
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Auslandsbanken zielen verstärkt auf das Mengenkundengeschäft Köhler M.
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Putting up a Good Fight: The Galí and Monacelli Model versus the Six Puzzles in International Macroeconomics Ried S.
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Essays on Macroeconomic Theory as a Guide to Economic Policy Ried S.
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Unternehmensgewinne und Aktienkurse Baltzer M., Dötz N.
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Bank ownership and stability: Evidence from Germany Beck T., Hesse H., Kick T., von Westernhagen N.
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Data need for stress-testing Cannata F., Krüger U.
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EU's Eastern Neighbours: Institutional Harmonisation and Potential Growth Bonus Radziwill A., Smietanka P.
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Der Einfluss des Staates im Finanzsektor wächst Köhler M.
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Der Staat wird Banker Köhler M.
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Inflationsindexierte Anleihen: Neue Strategien der Asset allocation Hertrich M.
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Risk Attitudes and Investment Decisions across European Countries: Are Women More Conservative Investors than Men? Badunenko O., Barasinska N. and Schäfer D.
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Real Convergence, Financial Markets, and the Current Account – Emerging Europe versus emerging Asia Herrmann S., Winkler A.
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Rohstoffe und wirtschaftliche Entwicklung Drescher C., Herz B.
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Abzinsung von Rückstellungen nach dem BilMoG: Ermittlung und Bekanntgabe der Zinssätze durch die Deutsche Bundesbank Elgg D., Stapf J.
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The effects of knowledge management on innovative success: an empirical analysis of German firms Cantner U., Joel K., Schmidt T.
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Procyclicality: discussion related to potential extensions of Basel II framework Festic M., Krüger U.
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Bad Bank: ein alternativer Vorschlag Fecht F., Grüner H.
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Macroeconomic fluctuations and bank lending: evidence for Germany and the euro area Eickmeier S., Hofmann B., Worms A.
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E Comovements and heterogeneity in the euro area analyzed in a non-stationary dynamic factor model Eickmeier S.
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Genügend Widerstandskraft? Immobilienfinanzierung und Haushaltsverschuldung in Deutschland, Großbritannien, den Niederlanden und den USA Badunenko O., Barasinska N., Schäfer D.
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What is the Impact of Stock Market Contagion on an Investor's Portfolio Choice? Branger N., Kraft H., Meinerding C.
Meinerding, C. (2012): Asset Allocation and Asset Pricing in the Face of Systemic Risk: A Literature Overview and Assessment, International Journal of Theoretical and Applied Finance, Vol. 15(3).
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Further evidence for the negative relationship between stock returns and volatility Kurz-Kim J.-R.
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The Design of an Asymmetric Currency Union with Shock Persistence and Spillovers: Short Term versus Medium Term Frey R.
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A comparison of forecasting performance between ECM and the difference ARX model Kurz-Kim J.-R.
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Financial Markets and the Current Account – Emerging Europe versus emerging Asia Herrmann S., Winkler A.
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Transparency of Regulation and Cross-Border Bank Mergers Köhler M.