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.
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Monthly Report - March 2011
The March 2011 monthly report contains: German balance of payments in 2010, Approaches to the measurement and macroprudential treatment of systemic risk; The implications of the financial crisis for monetary policy.
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The importance of bank profitability and bank capital for monetary policy Article from the Monthly Report January 2018
273 KB, PDF
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Outlook for the German economy - macroeconomic projections for 2010 and 2011 Article from the Monthly report December 2009
255 KB, PDF
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Rethinking Money Theory in Light of Fragile States: What Changing Patterns of Cash Use infer for a Globalizing World Antonia C Settle (University of Sydney, Australia)
62 KB, PDF
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Monthly Report - September 2013
The September 2013 Monthly Report explains the performance of German credit institutions in 2012 and the development of government interest expenditure in Germany. In addition, a workshop report to predictive models in the short-term economic analysis is included.
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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.
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Euro area banks' interest rate risk exposure to level, slope and curvature swings in the yield curve Discussion paper 24/2017: Daniel Foos, Eva Lütkebohmert, Mariia Markovych, Kamil Pliszka
1 MB, PDF
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The importance of macroprudential policy for monetary policy Article from the Monthly Report March 2015
466 KB, PDF