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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Does diversification improve the performance of German banks? Evidence from individual bank loan portfolios Discussion paper 05/2006: Evelyn Hayden, Daniel Porath, Natalja von Westernhagen
382 KB, PDF
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IFRS 9 from the perspective of banking supervision Article from the Monthly Report January 2019
190 KB, PDF
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Study on currency requirements in Germany Summary
In 2002 the Federal Ministry of Finance asked the Deutsche Bundesbank to present a study on currency requirements in Germany. This study is intended to contain a macroeconomic analysis of the quantitative development of cash, as well as qualitative aspects which could influence currency requirements.
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Credit risk connectivity in the financial industry and stabilization effects of government bailouts Discussion paper 16/2012: Jakob Bosma, Michael Koetter, Michael Wedow
416 KB, PDF
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Fiscal sustainability and policy implications for the euro area Discussion paper 04/2009: Fabrizio Balassone, Jorge Cunha, Geert Langenus, Bernhard Manzke, Jeanne Pavot, Doris Prammer, Pietro Tommasino
671 KB, PDF
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Exchange rate statistics - January 2016 Statistical Supplement 5 to the Monthly Report
578 KB, PDF
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The relationship between bank lending and the bond market in Germany Article from the Monthly report January 2000
233 KB, PDF
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A vectorautoregressive investment model (VIM) and monetary policy: panel evidence from German firms Discussion paper 06/2003: Jörg Breitung, Robert S. Chirinko, Ulf von Kalckreuth
278 KB, PDF
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Financial Stability Review 2018
Times of strong growth and low interest rates have seen vulnerabilities build up in the German financial system. In addition, the probability of an economic downturn has increased.