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Financial Stability Review 2022
The macro-financial environment has deteriorated substantially over the course of 2022. It has been shaped by subdued growth prospects, high inflation as well as rising interest rates and risk premia.
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The international and European setting Article from the Monthly report August 2001
318 KB, PDF
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Monthly report - August 2020
The August 2020 edition of the Monthly Report comments on the economic situation in Germany in summer 2020.
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Banks as investors in government bonds during the crisis – central bank-funded search for yield or de-risking? Research Brief | 36th edition – November 2020
Did German banks take on a particularly high level of risk during the financial crisis by investing in risky government bonds? A new study examines the behaviour of German banks between 2008 and 2014 and reveals that German banks – especially those that received government support and were comparatively undercapitalised – de-risked. This finding contrasts with the results of similar studies for banks in the euro area periphery countries.
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Negative interest rate policy period and pandemic as reflected in the Bank Lending Survey Article from the Monthly Report September 2022
397 KB, PDF
Monatsberichtsaufsatz September 2022
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