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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Monthly Report - November 2004
The monthly report contains: Economic conditions in Germany, Foreign trade and payments, Global and European setting, Monetary policy, banking business and the capital market, Public finances.
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Gesamtwirtschaftliche Ertrags- und Kostenentwicklung seit Anfang der neunziger Jahre Monatsberichtsaufsatz Dezember 2002
155 KB, PDF
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Quantifying the components of the banks' net interest margin Ramona Busch, Christoph Memmel
395 KB, PDF
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A random forest-based approach to identifying the most informative seasonality tests Daniel Ollech, Karsten Webel
737 KB, PDF
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Collateral requirements and asset prices Johannes Brumm, Michael Grill, Felix Kubler, Karl Schmedders
453 KB, PDF
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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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Monthly Report - July 2005
The monthly report contains: Exchange rates and interest rate differentials: recent developments since the introduction of the euro, Rapid change in paid employment.