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Statistical Series International investment position and external debt April 2021
3 MB, 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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Monthly report – April 2021
The Bundesbank’s April 2021 Monthly Report outlines the impact of monetary policy depending on the debt situation of the non-financial private sector and presents evidence for the euro area. It also examines firms’ assessments and expectations during the pandemic based on findings from the Bundesbank Online Panel Firms. A further article discusses the payment options opened up by digital money.
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Too-big-to-fail and funding costs: A repository of research studies Claudia M. Buch, Angélica Dominguez-Cardoza, Martin Völpel
1 MB, PDF
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Precision-based sampling with missing observations: A factor model application Discussion paper 11/2021: Philipp Hauber, Christian Schumacher
1019 KB, PDF
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Inter-cohort risk sharing with long-term guarantees: Evidence from German participating contracts Discussion paper 10/2021: Johan Hombert, Axel Möhlmann, Matthias Weiß
593 KB, PDF
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Statistical Series International investment position and external debt March 2021
3 MB, PDF
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Liquidity in the German corporate bond market: has the CSPP made a difference? Discussion paper 08/2021: Lena Boneva, Mevlud Islami, Kathi Schlepper
863 KB, PDF
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Monthly report – March 2021
The March 2021 Monthly Report analyses Germany’s balance of payments for 2020 and outlines the new European prudential framework for investment firms.
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The role of information and experience for households‘ inflation expectations Discussion paper 07/2021: Christian Conrad, Zeno Enders, Alexander Glas
1 MB, PDF
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Quantifying bias and inaccuracy of upper-level aggregation in HICPs for Germany and the euro area Discussion paper 06/2021: Julika Herzberg, Thomas A. Knetsch, Patrick Schwind, Sebastian Weinand
773 KB, PDF
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Annual Report 2020
1 MB, PDF
The Bundesbank is not distributing a profit to the Federal Government for 2020 – for the first time since 1979. The main reason was the greater level of risk provisioning.
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Toothless tiger with claws? Financial stability communication, expectations, and risk-taking Discussion paper 05/2021: Johannes Beutel, Norbert Metiu, Valentin Stockerl
2 MB, PDF
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Monthly report – February 2021
The February 2021 edition of the Monthly Report comments on the economic situation in Germany in winter 2020/2021.
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Statistical Series International investment position and external debt February 2021
3 MB, PDF
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Real estate transaction taxes and credit supply Discussion paper 04/2021: Michael Koetter, Philipp Marek, Antonios Mavropoulos
1 MB, PDF
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Re-allocating taxing rights and minimum tax rates in international profit taxation Discussion paper 03/2021: Gerhard Kempkes, Nikolai Stähler
1 MB, PDF
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A note of caution on quantifying banks‘ recapitalization effects Discussion paper 02/2021: Kirsten Schmidt, Felix Noth, Lena Tonzer
479 KB, PDF
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A structural investigation of quantitative easing Discussion paper 01/2021: Gregor Boehl, Gavin Goy, Felix Strobel
7 MB, PDF
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Statistical Series International investment position and external debt January 2021
3 MB, PDF
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Monthly Report – January 2021
The January 2021 edition of the Monthly Report analyses the slowdown in productivity growth in the euro area and describes the data collection methodology and analysis options for the new securities holding statistics on banking groups. It also discusses the two-tier system for remunerating reserve holdings and its impact on banks and financial markets.
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Payment behaviour in Germany in 2020 Survey during the year of the coronavirus pandemic