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Financial Stability Review 2021
The German financial system has functioned well during the pandemic; the extensive government measures have shielded the financial sector from losses. This is the conclusion reached by the Bundesbank in its Financial Stability Review 2021.
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The effects of knowledge management on innovative success - an empirical analysis of German firms Uwe Cantner, Kristin Joel, Tobias Schmidt
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Time-varying contributions by the corporate bond and CDS markets to credit risk price discovery Discussion paper 08/2007: Niko Dötz
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Der Auslandsumlauf deutscher Euro-Banknoten: Schätzung mit indirekten Ansätzen Diskussionspapier 21/2011: Nikolaus Bartzsch, Gerhard Rösl, Franz Seitz
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Volatile multinationals? Evidence from the labor demand of German firms Claudia M. Buch, Alexander Lipponer
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Household savings, capital investments and public policies: What drives the German current account? Kilian Ruppert, Nikolai Stähler
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Threshold dynamics of short-term interest rates: empirical evidence and implications for the term structure Theofanis Archontakis, Wolfgang Lemke
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Carbon pricing, border adjustment and climate clubs: An assessment with EMuSe Anne Ernst, Natascha Hinterlang, Alexander Mahle, Nikolai Stähler
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Information effects of euro area monetary policy: New evidence from high-frequency futures data Mark Kerssenfischer
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Trade balances of the central and east European EU member states and the role of foreign direct investment Sabine Herrmann, Axel Jochem
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