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Financial Stability Review 2019
The German financial system remains vulnerable to adverse economic developments. Future credit risk could be underestimated and the recoverability of loan collateral such as real estate overestimated.
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Ultra high frequency volatility estimation with dependent microstructure noise Discussion paper 30/2005: Yacine Ait-Sahalia, Per A. Mykland, Lan Zhang
625 KB, PDF
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Macroeconomic factors and micro-level bank risk Discussion paper 20/2010: Claudia M. Buch, Sandra Eickmeier, Esteban Prieto
670 KB, PDF
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German enterprises’ profitability and financing in 2017 Article from the Monthly Report December 2018
180 KB, PDF
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Exchange rate statistics - June 2017 Statistical Supplement 5 to the Monthly Report
511 KB, PDF
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