General Search
Multiple search words are automatically linked with "AND". Text enclosed in quotation marks (") returns only the pages in which this text occurs exactly. With the search filters next to the results you have the possibility to further limit your search.
-
Monthly Report - April 2014
The Monthly Report April 2014 comments on the reliability of international organisations' estimates of the output gap as well as on the implications of the Eurosystem's monetary operations during the financial crisis. Furthermore, some approaches to explaining the behaviour of inflation since the last financial and economic crisis are described.
-
Uncertainty, freedom of action and investment bahaviour - empirical findings for Germany Article from the Monthly report November 2001
165 KB, PDF
-
-
Indeterminacy and imperfect information Thomas A. Lubik, Christian Matthes, Elmar Mertens
852 KB, PDF
-
-
Monthly Report - January 2013
The January 2013 monthly report contains: Current developments in the mutual funds market: demand, structural changes and investor behaviour; Current and projected development of coin circulation in Germany.
-
Banks‘ strategic interaction, adverse price dynamics and systemic liquidity risk Ulrich Krüger, Christoph Roling, Leonid Silbermann, Lui-Hsian Wong
978 KB, PDF
-
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
-
-
Monthly Report - September 2014
The September 2014 edition of the Monthly Report discusses general trends and changes in the ownership structure in the German equity market that occurred during the financial crisis and also contains an article on the reform of federal financial relationships. A further article analyses the performance of German credit institutions in 2013.