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A top-down loan-level stress test for banks’ corporate credit risk: Application to risks from commercial real estate markets Tobias Herbst, Christoph Roling
1 MB, PDF
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Monthly Report – January 2025 Vol. 77 No 1
The January 2025 Monthly Report analyses the connection between risk appetite in financial markets and monetary policy in the euro area.
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Statistical Series International investment position and external debt January 2025
5 MB, PDF
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Statistical Series International investment position and external debt December 2024
5 MB, PDF
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Monthly Report – December 2024 Vol. 76 No 12
The December 2024 Monthly Report publishes the Deutsche Bundesbank’s forecast for Germany, which provides an outlook on how the German economy is likely to develop in the near future. A second article looks into the funding costs of banks in Germany in the monetary policy interest rate cycle. Finally, an article analyses the profitability and financing of German enterprises during the monetary policy tightening period.
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Monthly Report – November 2024 Vol. 76 No 11
The November 2024 edition of the Monthly Report comments on the economic situation in Germany in autumn 2024.
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Statistical Series International investment position and external debt November 2024
5 MB, PDF