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Monthly Report - September 2017
The September 2017 Monthly Report contains an article on monetary policy indicators at the zero lower bound on the basis of term structure models, and an analysis of the performance of German credit institutions in 2016. Explanations are also provided on the potential and risks of distributed ledger technologies in payments and securities settlement and on the changes and results in the process of extending the investment fund statistics.
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The impact of monetary policy depending on the debt situation in the non-financial private sector: Evidence for the euro area Article from the Monthly Report April 2021
240 KB, PDF
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Die Ertragslage der deutschen Kreditinstitute im Jahr 2006 Monatsberichtsaufsatz September 2007
351 KB, PDF
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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.