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.
-
-
Monthly Report - January 2017
The January 2017 Monthly Report contains an article on the Eurosystem’s asset purchases and the euro exchange rate. In addition, it analyses how debt levels have developed in the non-financial private sector in selected euro-area countries.
-
Monthly Report - May 2009
The monthly report contains: The German government's "bad bank" model, Economic conditions in Germany, Financial markets, Global and European setting, Monetary policy and banking business, Overview – May 2009, Public finances.
-
Monthly Report - September 2000
The monthly report contains: The Deutsche Bundesbank's involvement in banking supervision, The role of the International Monetary Fund in a changing global economic environment, The performance of German credit institutions in 1999.
-
-
Great moderation at the firm level? Unconditional versus conditional output volatility Claudia M. Buch, Jörg Döpke, Kerstin Stahn
496 KB, PDF
-
Credit risk transfer instruments: their use by German banks and aspects of financial stability Article from the Monthly report April 2004
262 KB, PDF
-
-
Forecasting stock market volatility with macroeconomic variables in real time Discussion paper 01/2006: Jörg Döpke, Daniel Hartmann, Christian Pierdzioch
284 KB, PDF
-
A Price-at-Risk approach for the German commercial real estate market Tobias Herbst, Jannick Plaasch, Florian Stammwitz
1 MB, PDF