Discussion Papers
The Discussion Papers with economic studies or financial and banking studies are elaborated by the research centre of the Deutsche Bundesbank.
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Macroeconomic and financial effects of natural disasters Sandra Eickmeier, Josefine Quast, Yves Schüler
991 KB, PDF
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The optimal inflation target: Bridging the gap between theory and policy Klaus Adam, Henning Weber
792 KB, PDF
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What moves households’ expectations during a crisis? Evidence from a randomized information experiment Norbert Metiu, Valentin Stockerl
1 MB, PDF
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Who pays the greenium and why? A decomposition Daniel Fricke, Christoph Meinerding
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Benchmarking short term forecasts of regional banknote lodgements and withdrawals Benedikt Sonnleitner, Jelena Stapf, Kai Wulff
695 KB, PDF
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Constructing fan charts from the ragged edge of SPF forecasts Todd E. Clark, Gergely Ganics, Elmar Mertens
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Geopolitical risk perceptions Yevheniia Bondarenko, Vivien Lewis, Matthias Rottner, Yves Schüler
3 MB, PDF
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Financial fragility in open-ended mutual funds: the role of liquidity management tools Peter Dunne, Lorenz Emter, Falko Fecht, Raffaele Giuliana, Oana Peia
819 KB, PDF
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Risky sovereign bond holdings by commercial banks in the euro area: Do safe assets availability and differences in bank funding costs play a role? Axel Jochem, Ernest Lecomte
2 MB, PDF
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Doom loop, trilemma, and moral hazard: Which narrative of the banking union did stock market investors buy? Tobias Körner, Michael Papageorgiou
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What is the value of retail order flow? Peter Hoffmann, Stephan Jank
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Unemployment benefit duration and startup success Sebastian Camarero Garcia, Martin Murmann
2 MB, PDF
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The scenario-based equity price impact induced by greenhouse gas emissions Mark A. Weth, Markus Baltzer, Christoph Bertram, Jérôme Hilaire, Craig Johnston
3 MB, PDF
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Do firm credit constraints impair climate policy? Matthias Kaldorf, Mengjie Shi
865 KB, PDF
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Digital transformation and its impact on labour productivity – A multi-sector perspective Elisabeth Falck, Oke Röhe, Johannes Strobel
901 KB, PDF
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Toward a holistic approach to central bank trust Sandra Eickmeier, Luba Petersen
2 MB, PDF
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Climate Minsky moments and endogenous financial crises Matthias Kaldorf, Matthias Rottner
834 KB, PDF
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Taxation of top incomes and tax avoidance Alessandro Di Nola, Georgi Kocharkov, Almuth Scholl, Anna-Mariia Tkhir, Hoamin Wang
815 KB, PDF
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Returns to scale: New evidence from administrative firm-level data Peter McAdam, Philipp Meinen, Chris Papageorgiou, Patrick Schulte
2 MB, PDF
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Inflation distorts relative prices: Theory and evidence Klaus Adam, Andrey Alexandrov, Henning Weber
2 MB, PDF
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Sudden stop: Supply and demand shocks in the German natural gas market Jochen Güntner, Magnus Reif, Maik Wolters
2 MB, PDF
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Financial repression in general equilibrium: The case of the United States, 1948–1974 Martin Kliem, Alexander Kriwoluzky, Gernot J. Müller, Alexander Scheer
2 MB, PDF
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Listening to the noise: On price efficiency with dynamic trading Lutz G. Arnold, David Russ
790 KB, PDF
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First-order and higher-order inflation expectations: Evidence about households and firms Pascal Kieren, Christian König-Kersting, Robert Schmidt, Stefan Trautmann, Franziska Heinicke
1 MB, PDF
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Structural change and the climate risk premium during the green transition Sophie Zhou, Frederick van der Ploeg
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Zero-risk weights and capital misallocation Takuji Fueki, Patrick Hürtgen, Todd B. Walker
681 KB, PDF
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CBDC and banks: Disintermediating fast and slow Rhys Bidder, Timothy Jackson, Matthias Rottner
5 MB, PDF
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Product turnover and endogenous price flexibility in uncertain times Makram Khalil, Vivien Lewis
3 MB, PDF
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Climate change and the macroeconomics of bank capital regulation Francesco Giovanardi, Matthias Kaldorf
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Does the right to work part-time affect mothers’ labor market outcomes? Hannah Paule-Paludkiewicz
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The fall and rebound of average establishment size in West Germany Tim Kovalenko, Timo Sauerbier, Benedikt Schröpf
908 KB, PDF
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Risky firms and fragile banks: Implications for macroprudential policy Tommaso Gasparini, Vivien Lewis, Stéphane Moyen, Stefania Villa
2 MB, PDF
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On curbing the rise in energy prices: An examination of different mitigation approaches Natascha Hinterlang, Marius Jäger, Nikolai Stähler, Johannes Strobel
2 MB, PDF
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Securities lending and information acquisition Stefan Greppmair, Stephan Jank, Pedro A. C. Saffi, Jason Sturgess
774 KB, PDF
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Macroprudential capital regulation and fiscal balances in the euro area Nikolay Hristov, Oliver Hülsewig, Benedikt Kolb
1 MB, PDF
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Excess reserves and monetary policy tightening Daniel Fricke, Stefan Greppmair, Karol Paludkiewicz
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The transmission of bank liquidity shocks: Evidence from the Eurosystem collateral framework Pia Hüttl, Matthias Kaldorf
655 KB, PDF
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Back to the roots of internal credit risk models: Does risk explain why banks’ risk-weighted asset levels converge over time? Victoria Böhnke, Steven Ongena, Florentina Paraschiv, Endre J. Reite
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On household labour supply in sticky-wage HANK models Rafael Gerke, Sebastian Giesen, Matija Lozej, Joost Röttger
973 KB, PDF
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Nowcasting consumer price inflation using high-frequency scanner data: Evidence from Germany Günter W. Beck, Kai Carstensen, Jan-Oliver Menz, Richard Schnorrenberger, Elisabeth Wieland
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The role of emission disclosure for the low-carbon transition Ivan Frankovic, Benedikt Kolb
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The macroeconomic effects of inflation uncertainty Norbert Metiu, Esteban Prieto
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Collateral scarcity and market functioning: Insights from the Eurosystem securities lending facilities Stefan Greppmair, Stephan Jank
720 KB, PDF