Monthly Reports from August 1948 until today
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The Monthly Reports from 1948 to 1999 have been scanned. They are available as image files and cannot be searched as full texts.
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Monthly Report - July 2006
The monthly report contains: State government finances in Germany, Recent developments in German banks’ lending to domestic enterprises and households.
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Monthly Report - June 2006
The monthly report contains: Concentration risk in credit portfolios, German enterprises’ profitability and financing in 2004, Investment and financing in 2005.
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Monthly Report - May 2006
The monthly report contains: Economic conditions in Germany, Financial markets, Global and European setting, Monetary policy and banking business, Public finances.
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Monthly Report - April 2006
752 KB, PDF
The monthly report contains: Determinants of the term structure of interest rates – approaches to combining arbitrage-free models and monetary macroeconomics, The creation of a single list of eligible collateral throughout the euro area.
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Monthly Report - February 2006
The monthly report contains: Economic conditions in Germany, Financial markets, Global and European setting, Monetary policy and banking business, Public finances.
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Monthly Report - January 2006
The monthly report contains: Determinants of the current accounts in central and east European EU member states and the role of German direct investment, Securities market regulation: international approaches.
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Monthly Report - December 2005
The monthly report contains: Price-setting behaviour in Germany, The road to the Single Euro Payments Area.
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Monthly Report - November 2005
The monthly report contains: Economic conditions in Germany, The economic scene in Germany in autumn 2005, Financial markets, Global and European setting, Monetary policy and banking business, Public finances.
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Monthly Report - October 2005
The monthly report contains: German enterprises' profitability and financing - an analysis based on a new dataset, Germany's financial linkage to the EU budget, New transparency rules for credit institutions, Risk appetite in a dynamic financial market environment.
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Monthly Report - September 2005
The monthly report contains: The performance of German credit institutions in 2004, Potential financial risk faced by the International Monetary Fund, Recent trends in individual payments, The role of volatility patterns in financial markets.