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Households’ expectations and regional COVID-19 dynamics Discussion paper 02/2023: Misina Cato, Tobias Schmidt
998 KB, PDF
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Financial Stability Review 2023
The macroeconomic environment is being shaped by the interest rate reversal and heightened uncertainty. So far, the German financial system has coped well with the rise in interest rates over the last year, but the effects of this rise have not yet fully materialised. Structural change in the economy is also likely to further increase credit risk.
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Monetary policy and banking business Article from the Monthly report November 2007
370 KB, PDF
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From the monetary pillar to the monetary and financial analysis Article from the Monthly Report – Janaury 2023
422 KB, PDF
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Kerninflationsraten als Hilfsmittel der Preisanalyse Monatsberichtsaufsatz April 2000
231 KB, PDF
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Der Zusammenhang zwischen monetärer Entwicklung und Immobilienmarkt Monatsberichtsaufsatz Juli 2007
224 KB, PDF
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Sovereign risk and bank fragility Discussion paper 54/2020: Kartik Anand, Jochen Mankart
930 KB, PDF
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Does non-interest income make banks more risky? Retail- versus investment-oriented banks Discussion paper 17/2013: Matthias Köhler
2 MB, PDF