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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The supervisor’s portfolio: the market price risk of German banks from 2001 to 2003 – Analysis and models for risk aggregation Discussion paper 02/2005: Christoph Memmel, Carsten Wehn
1 MB, PDF
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Monetary transmission in Germany: New Perspectives on Financial Constraints and Investment Spending Ulf von Kalckreuth
494 KB, PDF
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Monthly Report - February 2000
The monthly report contains: Economic conditions in Germany, The economic scene in Germany at the turn of the year 1999-2000, Financial markets in Germany, Foreign trade and payments, Public finance.
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The home bias in equities and distribution costs Philipp Harms, Mathias Hoffmann, Christina Ortseifer
393 KB, PDF
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Private debt – status quo, need for adjustment and policy implications Article from the Monthly Report January 2014
266 KB, PDF
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German enterprises’ profitability and financing in 2020 Article from the Monthly Report December 2021
231 KB, PDF
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The scenario-based equity price impact induced by greenhouse gas emissions Mark A. Weth, Markus Baltzer, Christoph Bertram, Jérôme Hilaire, Craig Johnston
3 MB, PDF
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Financial Stability Review 2010
3 MB, PDF
Stability of the German financial system improved – focus now on European sovereign debt crisis and medium-term risks from protracted low-interest rate environment.
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Testing for business cycle asymmetries based on autoregressions with a Markov-switching intercept Malte Knüppel
499 KB, PDF
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Monthly Report - July 2000
The monthly report contains: Deposit protection and investor compensation in Germany, Determinants and macroeconomic significance of product wage and consumption wage, Germany's role in international service transactions.