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Monthly Report - June 2014
The June 2014 edition of the Monthly Report explains – beside the outlook for the German economy as macroeconomic projections for 2014 and 2015 – Europe’s new recovery and resolution regime for credit institutions. It furthermore comments on the changes in the methodology and classification of the balance of payments and the international investment position. In the end, cash withdrawals at the point of sale against the background of motives for use and implications for cash holding are described.
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Exchange rate statistics - January 2014 Statistical Supplement 5 to the Monthly Report
601 KB, PDF
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What drives the German TARGET balances? Evidence from a BVAR approach Discussion paper 12/2021: Timo Bettendorf, Axel Jochem
707 KB, PDF
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The Relationship between the Federal Funds Rate and the Fed's Funds Rate Target: Is it Open Market or Open Mouth Operations? Discussion paper 09/2000: Daniel L. Thornton
263 KB, PDF
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Exchange rate statistics - July 2009 Statistical Supplement to the Monthly Report 5
664 KB, PDF
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Exchange rate statistics - August 2009 Statistical Supplement to the Monthly Report 5
667 KB, PDF
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Exchange rate statistics - June 2009 Statistical Supplement to the Monthly Report 5
665 KB, PDF
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