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Philipp Johann König

Philipp Johann König

Research Interests

  • Financial Intermediation
  • Financial Regulation
  • Monetary Policy and Financial Stability Policies
  • Financial Markets

Refereed Publications

  • König, P. and A. Meyer-Gohde (2017), Decoupling Real and Nominal Rigidities: A Re-examination of the Canonical Model of Price Setting Under Menu Costs, Economic Letters, Vol. 156, pp. 129-132.
  • König, P. and D. Pothier (2016), Too Much of a Good Thing? Short-term Debt as a Sorting Device, Journal of Financial Intermediation, Vol. 26, pp. 100-114.
  • Fratzscher, M., P. König and C. Lambert (2016), Credit Provision and Banking Stability after the GFC, Journal of International Money and Finance, Vol. 66, pp. 113-135.
  • König, P. (2015), Liquidity Requirements – A Double-Edged Sword, International Journal of Central Banking, Vol. 11(4), pp. 129-168.
  • Anand, K., F. Heinemann and P. König (2014), Guarantees, Transparency and the Interdependency Between Sovereign and Bank Default Risk, Journal of Banking and Finance, Vol. 45, pp. 321-337.
  • Bindseil, U. and P. König (2012), Target 2 and the European Sovereign Debt Crisis, Kredit und Kapital, Vol. 45(2), pp. 135-174.
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