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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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The forecast ability of risk-neutral densities of foreign exchange Discussion paper 05/2005: Ben R. Craig, Joachim G. Keller
549 KB, PDF
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Monthly Report - May 2011
The May 2011 monthly report describes the economic situation in Germany in spring 2011.
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Monthly Report - January 2011
The January 2011 monthly report contains: The banknote cycle and banknote recycling in Germany; Foreign demand for euro banknotes issued in Germany; Investor behaviour in theory and
practice; Requirements regarding the cyclical adjustment procedure under the new debt rule. -
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Monthly Report - April 2012
The April 2012 monthly report contains: Potential growth of the German economy – medium-term outlook against the backdrop of demographic strains; The European Systemic Risk Board: from institutional foundation to credible macroprudential oversight
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The financial crisis and balance of payments developments within the euro area Article from the Monthly Report October 2012
181 KB, PDF
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Changes to the investment funds statistics: scope enhancements, results and outlook Article from the Monthly Report September 2017
132 KB, PDF
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The pricing of FX forward contracts: micro evidence from banks’ dollar hedging Discussion paper 42/2018: Puriya Abbassi, Falk Bräuning
1023 KB, PDF