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An assessment of the trends in international price competitiveness among EMU countries Christoph Fischer
355 KB, PDF
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Monthly Report - May 2002
The monthly report contains: Appendix – Discussing the growth and prosperity gap between the United States and the euro area, Economic conditions in Germany, Financial markets in Germany, Foreign trade and payments, The international and European setting, Public finance, Seventh Act amending the Bundesbank Act.
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Monthly Report - January 2019
The January 2019 edition of the Bundesbank’s Monthly Report looks into how a normalisation of interest rates will impact on balance sheets in the euro area’s private non-financial sector and explores price competitiveness in a number of euro area countries in terms of the development, drivers and influence of labour market reforms. The Report also features an analysis of financial cycles in the euro area and sheds light on International Financial Reporting Standard (IFRS) 9 from a banking supervision angle.
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Monthly Report - March 2003
The monthly report contains: The Eurosystem's monetary policy framework, German balance of payments in 2002, Macroeconomic aspects of share price developments, The development of production potential in Germany.
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Monthly Report - July 2003
The monthly report contains: Reports from the Economic Research Centre, Financial markets in central and east European countries before accession to the EU, Economic and monetary policy cooperation between the EU and the acceding countries following the signature of the accession treaty, The state of public finance in the EU acceding countries.
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Monthly Report - August 2017
The August 2017 Monthly Report comments on the economic situation in Germany in summer 2017.
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Monthly Report - March 2004
The monthly report contains: German balance of payments in 2003, Public finances in crisis - the causes and the need for action.
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Monthly Report - October 2019
The Bundesbank’s October 2019 Monthly Report reviews and analyses the market for sustainable financial investments, as well as studying the European investment funds market and the role of bond funds in the low interest rate environment. Furthermore, it describes the long-term outlook for the statutory pension insurance scheme and explains structural reforms in the euro area.