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A simple model of geopolitical risk and sanctions Vivien Lewis, Sirikorn Puangjit
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IFS-Base – Data Report 2025-16 – Metadata Version 8-1 Michaela Igel, Rene Keifenheim, Miriam Krüger, Ece Yalcin-Roder
224 KB, PDF
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Financial Stability Review 2025
The risks to the German financial system have increased. The Financial Stability Review 2025 sees challenges from geopolitical tensions, trade conflicts and rising government debt.
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Do capital requirements and their international differences affect banks‘ profitability? Manuel Buchholz, Axel Loeffler, Patrick Sigel
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Benefits of SCT Inst for Public Administrations
5 MB, PDF
Information of the ECB on potential benefits for public administrations of using instant payments.
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Statistical Series International investment position and external debt October 2025
5 MB, PDF
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Monthly Report – October 2025 Vol. 77 No 10
In the October 2025 Monthly Report, one article looks at the finances of the European Union, examining Member States’ financial relationships with the EU in 2024 as well as the multiannual financial framework for the period from 2028 to 2034. In another article, authors analyse the effects of global uncertainty on international portfolio flows.
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Regional loan market structure, bank lending rates and monetary transmission Sebastian Bredl
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Social trading, correlated retail investing and non-fundamental speculation David Russ
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Optimal central bank collateral policy for the net zero transition Matthias Kaldorf
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Zusammenfassung der geldpolitischen Sitzung des Rates der Europäischen Zentralbank am 10.-11. September 2025
388 KB, PDF
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From weather to wallet: Evidence on seasonal temperature shocks and global food prices Elisabeth Falck, Patrick Schulte
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MFI interest rate statistics 01/2003-06/2025 – Data Report 2025-14 – Metadata Version 8-1 P. Felka, M. Igel, R. Keifenheim, M. Krueger
412 KB, PDF
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The European single market and intra-EU trade: An assessment with heterogeneity-robust difference-in-differences methods Arne J. Nagengast, Fernando Rios-Avila, Yoto V. Yotov
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A choice-based approach to the measurement of inflation expectations Olga Goldfayn-Frank, Pascal Kieren, Stefan Trautmann
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A temporary VAT cut as unconventional fiscal policy Rüdiger Bachmann, Benjamin Born, Olga Goldfayn-Frank, Georgi Kocharkov, Ralph Luetticke, Michael Weber
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Statistics of the banks' profit and loss accounts 1999-2024 – Data Report 2025-13 – Metadata Version 15 Harald Stahl, Nicole Scheller, Petra Tauber
265 KB, PDF
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Statistical Series International investment position and external debt September 2025
5 MB, PDF
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Monatsbericht – September 2025 77. Jahrgang, Nr. 9
Der Monatsbericht September 2025 untersucht den Einfluss von Wechselkursänderungen auf heimische Preise in Zeiten hoher Inflation und stellt die Ertragslage der deutschen Kreditinstitute im Jahr 2024 dar. Außerdem werden Optionen für Großbetragszahlungen in digitalem Zentralbankgeld aufgezeigt.
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On the effects of global uncertainty shocks on portfolio flows Joscha Beckmann, Timo Bettendorf
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Uncertainty and rounding in expectation surveys Jonas Dovern, Alexander Glas
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Analytical Credit Datasets – German Part – Data Report 2024-12 – Metadata Version 1-0 Gabriela Alves Werb, Tobias Krodel, Konstantin Körner, Enikö Gabor-Toth, Dominik Boddin, Christopher-Johannes Schild, Hannes Hildebrandt, Florian Hoffmann, Tetiana Panasenko
189 KB, PDF
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Zusammenfassung des Tagesordnungspunkts zur Bewertung der geldpolitischen Strategie auf der Sitzung des Rates der Europäischen Zentralbank am 25. Juni 2025 (Videokonferenz)
252 KB, PDF
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Zusammenfassung der geldpolitischen Sitzung des Rates der Europäischen Zentralbank am 23.-24. Juli 2025
232 KB, PDF
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Microdatabase Direct Investment – Data Report 2025-10 – Metadata Version 12 Kathrin Friederich, Lien Pham-Dao, Christopher-J. Schild, Dietmar Scholz, Jana Schumacher
6 MB, PDF
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Details matter: Loan pricing and transmission of monetary policy in the euro area Kārlis Vilerts, Sofia Anyfantaki, Konstantīns Beᶇkovskis, Sebastian Bredl, Massimo Giovannini, Florian Matthias Horky, Vanessa Kunzmann, Tibor Lalinský, Athanasios Lampousis, Elizaveta Lukmanova, Filippos Petroulakis, Klāvs Zutis
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Monatsbericht – August 2025 77. Jahrgang, Nr. 8
Im Monatsbericht August 2025 wird die Wirtschaftslage in Deutschland im Sommer 2025 erläutert.
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Statistical Series International investment position and external debt August 2025
5 MB, PDF
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Collateral easing and safe asset scarcity: How money markets benefit from low-quality collateral Stefan Greppmair, Karol Paludkiewicz, Sascha Steffen