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  • Ein Wald mit Birkenbäumen von unten fotografiert ©smallredgirl / Fotolia
    © smallredgirl / Fotolia
    Green Finance

    Der Klimawandel stellt auch den Finanzsektor vor große Herausforderungen. Die Bundesbank unterstützt den Wandel hin zu einer kohlenstoffarmen Wirtschaft.

    Green Finance
    Finance Flash
    Finance Flash

    Themen rund um die Aufgaben der Bundesbank leicht verständlich erklärt.

    Finance Flash
    • Übersicht Bundesbank
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  • Digitaler Euro ©Europäische Zentralbank
    © Europäische Zentralbank
    Digitaler Euro

    Informationen zum Projekt Digitaler Euro

    Digitaler Euro
    Bits und Bargeld ©Bert Bostelmann
    © Bert Bostelmann
    Bits & Bargeld

    Mit der Veranstaltungsreihe Bits und Bargeld möchte die Bundesbank mit der Gesellschaft in Dialog treten. Besuchen Sie unsere Veranstaltungen in mehreren Städten Deutschlands.

    Bits & Bargeld
    • Übersicht Aufgaben
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        • Übersicht Geldpolitische Tenderoperationen
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        • Übersicht Geldpolitische Wertpapierankäufe
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          • Übersicht Liquidität
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          • Liquiditäts­verordnung
        • Leverage Ratio
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        • MiCAR – Markets in Crypto-Assets Regulation
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          • Übersicht Risikomanagement
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    • Bargeld
      • Übersicht Bargeld
      • Bargeldstrategie des Eurosystems
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        • Übersicht Falschgeld
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        • Übersicht Dienstleistungsangebot
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        • Übersicht CashEDI
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          • Übersicht Allgemeine Informationen
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          • ExtraNet
        • Downloads und Videoanleitungen
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      • Bargeldrecycling
        • Übersicht Bargeldrecycling
        • Rechtliche Rahmenbedingungen
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        • Münzrollenfertiger
        • Bargeldbearbeitungssysteme
        • Meldung statistischer Daten
          • Übersicht Meldung statistischer Daten
          • Filetransfer
          • WebCRCMV
          • Vordrucke Banknotenrecycling
          • Vordrucke Münzrecycling
      • Ökologische Nachhaltigkeit
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    • Unbarer Zahlungsverkehr
      • Übersicht Unbarer Zahlungsverkehr
      • Digitaler Euro
        • Übersicht Digitaler Euro
        • Auf einen Blick
        • Stand der Dinge
        • FAQ – Digitaler Euro
      • TARGET
        • Übersicht TARGET
        • Die TARGET-Services
        • Gemeinsame Komponenten der TARGET-Services
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      • T2
      • TARGET2-Securities
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      • Eurosystem Collateral Management System
        • Übersicht Eurosystem Collateral Management System
        • Harmonisierungsinitiativen
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        • Dokumentation & FAQs
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        • Übersicht Sicherheitenkonto
        • Neukundeninformationen
          • Übersicht Neukundeninformationen
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        • Übersicht EMZ
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          • Übersicht SEPA-Clearer
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        • Übersicht Hausbankverfahren
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      • Trigger Solution
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      • Veröffentlichungen
        • Übersicht Veröffentlichungen
        • Analyse
        • Newsletter
        • amplus
    • Themen
  • Suche Icon
    SDMX Webservice

    Für das automatisierte Herunterladen statistischer Datensätze stellt die Bundesbank ein neues Verfahren bereit. Der Webservice bietet eine Schnittstelle für programmgesteuerte Zugriffe.

    SDMX Webservice
    Blaue Binärzahlen auf einem PC-Bildschirm ©ninog / fotolia
    © ninog / fotolia
    Zeitreihen-Datenbanken

    Aktuelle statistische Daten der Bundesbank in Form von Zeitreihen (auch zum Download als CSV- oder SDMX-ML-Datei).

    Zeitreihen-Datenbanken
    • Übersicht Statistiken
    • Außenwirtschaft
      • Übersicht Außenwirtschaft
      • Zahlungsbilanz
      • Auslandsvermögen und -verschuldung
      • Direktinvestitionen
    • Banken und andere finanzielle Unternehmen
      • Übersicht Banken und andere finanzielle Unternehmen
      • Banken
        • Übersicht Banken
        • Bilanzpositionen
        • Ertragslagedaten
        • Auslandspositionen der Banken
        • Geldmengenaggregate
        • OTC-Derivatestatistik
        • Triennial Central Bank Survey
      • Investmentgesellschaften
      • Pensionseinrichtungen
      • Verbriefungszweckgesellschaften
      • Versicherungen
      • Zahlungsverkehr
    • Geld- und Kapitalmärkte
      • Übersicht Geld- und Kapitalmärkte
      • Euro-Geldmarkt
      • Wertpapierbestände
      • Wertpapieremissionen
      • Zinssätze und Renditen
        • Übersicht Zinssätze und Renditen
        • Notenbankzinssätze
        • Geldmarktsätze
        • Umlaufsrenditen
        • Kurse, Renditen der Bundeswertpapiere
        • Zinsstruktur am Rentenmarkt
        • Abzinsungszinssätze
        • Einlagen- und Kreditzinssätze
        • Euro Short-Term Rate (€STR)
        • Realzinssätze auf Bankeinlagen
        • Erwartete Realzinssätze
    • Gesamtwirtschaftliche Rechenwerke
      • Übersicht Gesamtwirtschaftliche Rechenwerke
      • Volkswirtschaftliche Gesamtrechnungen
      • Finanzierungsrechnung
      • Vermögensbilanzen
    • Indikatorensätze
      • Übersicht Indikatorensätze
      • Indikatorensystem Wohnimmobilienmarkt
      • Indikatorensystem Gewerbeimmobilienmarkt
      • Financial Soundness Indicators
      • SDDS Plus
      • Lange Zeitreihen
    • Konjunktur und Preise
      • Übersicht Konjunktur und Preise
      • Produktion
      • Auftragseingang und -bestand
      • Umsätze
      • Beschäftigung und Arbeitsmarkt
      • Tarifverdienste und Arbeitskosten
      • Harmonisierter Verbraucherpreisindex
      • Nationale Erzeuger- und Verbraucherpreise
      • Außenhandelspreise
      • Immobilien- und Bauleistungspreise
      • Wöchentlicher Aktivitätsindex
    • Nachhaltigkeit
    • Öffentliche Finanzen
      • Übersicht Öffentliche Finanzen
      • Maastricht‑Defizit und ‑Schuldenstand
      • Haushaltsentwicklung in Deutschland (VGR)
      • Haushaltsentwicklung in Deutschland (Finanzstatistik)
    • Unternehmen und private Haushalte
    • Wechselkurse
      • Übersicht Wechselkurse
      • Devisenkurse, Euro-Referenzkurse, sonstige Wechselkurse
      • Effektive Wechselkurse
    • Zeitreihen-Datenbanken
  • Schriftliches Ausfüllen einer Überweisung ©Maria Lungwitz
    © Maria Lungwitz
    Bankleitzahlen-Suche

    Suchen Sie im aktuell gültigen Verzeichnis der Bankleitzahlen.

    Bankleitzahlen-Suche
    • Übersicht Service
    • Bankdienstleistungen für Zentralbanken
    • Banken und Unternehmen
      • Übersicht Banken und Unternehmen
      • Bund Bietungs-System (BBS)
        • Übersicht Bund Bietungs-System (BBS)
        • Betriebs- und Supportzeiten
        • Dokumentation
        • Geschäftsbedingungen
        • Testumgebung
      • Collateralmanagement Access Portal (CAP)
        • Übersicht Collateralmanagement Access Portal (CAP)
        • Betriebs- und Supportzeiten
        • Dokumentation
        • Geschäftsbedingungen
        • Testumgebung
      • CERT-Bundesbank
      • ESM/EFSF Bietungs-System (EBS)
        • Übersicht ESM/EFSF Bietungs-System (EBS)
        • Betriebs- und Supportzeiten
        • Dokumentation
        • Geschäftsbedingungen
      • Hinterlegungs-bescheinigungen für Gläubigerversammlungen
      • Mobilisation and Administration of Credit Claims (MACCs)
        • Übersicht Mobilisation and Administration of Credit Claims (MACCs)
        • Kundeninformationen
        • Rechtliche Grundlagen
        • Grenzüberschreitende Nutzung von Kreditforderungen
        • Testumgebung
        • Häufig gestellte Fragen (FAQ)
      • OffenMarkt Tender Operations-System (OMTOS)
        • Übersicht OffenMarkt Tender Operations-System (OMTOS)
        • Allgemeine Informationen zu OMTOS
        • Ansprechpartner
        • Betriebs- und Supportzeiten
        • Dokumentation
        • Geschäfts­bedingungen
        • Neukundeninformation
      • Public Key Infrastructure (PKI)
        • Übersicht Public Key Infrastructure (PKI)
        • Certificate Policy (CP) und Certification Practice Statement (CPS)
        • Erläuterungen zur E-Mail-Sicherheit
    • Beschaffungen
    • Bundeswertpapiere
      • Übersicht Bundeswertpapiere
      • Einmalemissionen
      • Emissionsbedingungen
      • Emissionskalender des Bundes
      • Tenderverfahren
      • Kurse und Renditen
      • Stripping
    • NExt
    • ExtraNet
    • Finanzsanktionen
      • Übersicht Finanzsanktionen
      • Sanktionsregimes
    • Immobilienmanagement
      • Übersicht Immobilienmanagement
      • Objekte
    • Mediathek
    • Meldewesen
      • Übersicht Meldewesen
      • Außenwirtschaft
        • Übersicht Außenwirtschaft
        • Änderungen im Meldewesen
        • Auskünfte zum Meldewesen
        • Einreichungsfrist
        • Elektronische Einreichung
          • Übersicht Elektronische Einreichung
          • AMS
          • Filetransfer
        • FAQ & Merkblätter
        • Rechtliche Grundlagen
        • Schlüsselverzeichnisse
      • Außenwirtschaft Formular-Center
        • Übersicht Außenwirtschaft Formular-Center
        • Zahlungsmeldungen
        • Meldungen über Auslandsforderungen und ‑verbindlichkeiten
        • Meldungen über grenzüberschreitende Unternehmensbeteiligungen
      • Bankenaufsicht
        • Übersicht Bankenaufsicht
        • PRISMA: Aufsichtliche Meldestrecke
        • Einreichung via ExtraNet
        • Formate (XBRL und XML)
        • Meldungen zur LiqV
        • COREP/FINREP
        • EZB‑Finanz­informationen
        • Erläuterungen zur Zuordnung von Gegenparteien
        • Meldungen zur Vergütung
        • Meldung zum Vergleich der Diversitätspraktiken
        • Datenqualität des har­monisierten Meldewesens
      • Bankenaufsicht Formular-Center
        • Übersicht Bankenaufsicht Formular-Center
        • Meldungen
        • Formulare
      • Bankenstatistik
        • Übersicht Bankenstatistik
        • Kundensystematik
        • Formate XML
        • ExtraNet
        • Rechtliche Grundlagen
        • Neufassung der EZB-Verordnungen
      • Bankenstatistik Formular-Center
      • Bankenstatistik Rundschreiben
      • Finanzstabilität
        • Übersicht Finanzstabilität
        • Formate (XML)
        • Sonstige rechtliche Grundlagen
    • Mitarbeiter/-innen der Bundesbank
    • Newsletter
    • Schlichtungsstelle
    • Schule und Bildung
      • Übersicht Schule und Bildung
      • Unterrichtsmaterialien
        • Übersicht Unterrichtsmaterialien
        • Sekundarstufe II
        • Sekundarstufe I
        • Primarstufe
        • Grafiken für den Unterricht
      • Erklärfilme
      • Interaktive Angebote
      • Vortragsveranstaltungen und Lehrerfortbildung
    • Termine
  • Journalisten bei einer Pressekonferenz ©Frank Rumpenhorst
    © Frank Rumpenhorst
    Presse

    Im Pressebereich finden Sie Pressemitteilungen, Reden, Gastbeiträge und Interviews von Mitgliedern des Vorstands der Deutschen Bundesbank sowie weiteres Pressematerial. Für Journalistinnen und Journalisten steht ein zugangsgeschützter Pressebereich zur Verfügung.

    Presse
    • Übersicht Presse
    • Pressenotizen
      • Übersicht Pressenotizen
      • Bundeswertpapiere
      • Europäische Zentralbank
      • EFSF/ESM
    • Reden
    • Interviews
    • Gastbeiträge
    • Stellungnahmen
    • Pressematerial
      • Übersicht Pressematerial
      • Bildarchiv
      • Footage
      • Logo
      • 60 Jahre
    • Pressetermine
    • Pressekontakt
    • Vorstandskalender
  • Das Buch „Geld und Geldpolitik“ ©Nils Thies
    © Nils Thies
    Schülerbuch „Geld und Geldpolitik“

    Das Schülerbuch für die Sekundarstufe II informiert über grundlegende Zusammenhänge und aktuelle Entwicklungen rund um Geld, Währung und Zentralbank.

    Schülerbuch „Geld und Geldpolitik“
    • Übersicht Publikationen
    • Berichte und Studien
    • Europäische Zentralbank
    • Forschung
    • Schule und Bildung
    • Statistiken
  • Studierende im Schlosshof ©Jonas Riemer
    © Jonas Riemer
    Bundesbank „Job Experience“

    Gewinne einen spannenden Einblick in die vielfältigen und einzigartigen Aufgaben der Bundesbank und erfahre alles über die Möglichkeiten eines dualen Studiums.

    • 14.07.2025 – 18.07.2025
    Bundesbank „Job Experience“
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Referierte Publikationen

Veröffentlichungen der Forscher und Forscherinnen der Bundesbank nach Jahren

14 Beiträge
  • Forthcoming
    • Stressed banks? Evidence from the largest-ever supervisory review Abbassi P., Iyer R., Peydró J., Soto P.E.

      Management Science, forthcoming.

    • Banks of a feather: The Informational advantage of being alike Bednarek P., Dinger V., Schultz A., von Westernhagen N.

      Journal of Money, Credit and Banking, forthcoming.

    • Does greater transparency discipline the loan loss provisioning of privately held banks? Bischof J., Foos D., Riepe J.

      European Accounting Review, forthcoming.

    • The Impact of Covid-19 on Productivity Bloom N., Bunn P., Mizen P., Smietanka P., Thwaites G.

      Review of Economics and Statistics, forthcoming.

    • Liquidity in the German corporate bond market: has the CSPP made a difference? Boneva L.M., Islami M., Schlepper K.

      Journal of International Money and Finance, forthcoming.

    • The Effect of Unemployment Insurance Benefits on (Self-)Employment: Two Sides of the Same Coin? Camarero Garcia S., Hansch M.

      Journal of Human Resources, forthcoming.

    • Are Tax Cuts Contractionary at the Zero Lower Bound? Evidence from a Century of Data Cloyne J., Dimsdale N., Hürtgen P.

      Journal of Political Economy, forthcoming.

    • New Facts on Consumer Price Rigidity in the Euro Area Conflitti C., Gautier E., Faber R., Fabo B., Jouvanceau V., Menz J., Messner T., Petroulas P., Roldan-Blanco P., Rumler F., Santoro S., Wieland E., Zimmer H.

      American Economic Journal: Macroeconomics, forthcoming.

    • Teenage Childbearing and the Welfare State Di Nola A., Jan M., Kocharkov G., Wang H.

      Macroeconomic Dynamics, forthcoming.

    • Determinants of Net Transactions in TARGET2 of European Banks based on micro-data Drott C., Goldbach S., Jochem A.

      Open Economies Review, forthcoming.

    • Spillover, Efficiency and Equity Effects of Regional Firm Subsidies Etzel T., Siegloch S., Wehrhöfer N.

      American Economic Journal: Economic Policy, forthcoming

    • Interest-Rate Pegs and The Reversal Puzzle: On The Role of Anticipation Gerke R., Giesen S., Kienzler D.

      Journal of Money, Credit and Banking, forthcoming.

    • Monetary Policy Communication Shocks and the Macroeconomy Goodhead R., Kolb B.

      Economica, forthcoming.

    • Sudden Stop: Supply and Demand Shocks in the German Natural Gas Market Güntner J., Reif M., Wolters M.

      Journal of Applied Econometrics, forthcoming.

    • The Rationality Bias Hagenhoff T., Lustenhouwer J., Tsionas M.

      Journal of Money, Credit and Banking, forthcoming.

    • Monetary Policy, Firms' Extensive Margin and Productivity Hartwig B., Lieberknecht P.

      International Journal of Central Banking, forthcoming.

    • Hampered monetary policy transmission – a supply side story? Heckmann-Draisbach L., Moertel J.

      Journal of Money, Credit and Banking, forthcoming.

    • Are risky banks disciplined by large corporate depositors? Imbierowicz B., Saunders A., Steffen S.

      Journal of Money, Credit and Banking, forthcoming.

    • What Drives Startup Valuations? Imbierowicz B., Rauch C.

      Journal of Banking and Finance, forthcoming.

    • Bank Risk-Taking and Impaired Monetary Policy Transmission König P., Schliephake E.

      International Journal of Central Banking, forthcoming.

    • On adjusting the one-sided Hodrick-Prescott filter Mokinski F., Schüler Y., Wolf E.

      Journal of Money, Credit and Banking, forthcoming.

    • Staggered Difference-in-Differences in Gravity Settings: Revisiting the Effects of Trade Agreements Nagengast A., Yotov Y.V.

      American Economic Journal: Applied Economics, forthcoming.

  • 2025
    • Make-Up Strategies with Incomplete Markets and Bounded Rationality Dobrew M., Gerke R., Giesen S., Röttger J.

      2025 | European Economic Review, Vol. 173, 104941.

  • 2024
    • Who Divorces Whom: Unilateral Divorce Legislation and the Educational Structure of Marriage Afunts G., Jurajda Š.

      2024 | Demography, Vol. 61(4), 1097–1116.

    • Real Interest Rates, Bank Borrowing and Fragility Ahnert T., Anand K., König P.

      2024 | Journal of Money, Credit and Banking, Vol. 56(6), pp. 1545-1571.

    • Listening to the Noise: On Price Efficiency with Dynamic Trading Arnold L., Ruß D.

      2024 | International Review of Economics and Finance, Vol. 93(Part B), pp. 103-120.

    • Multilateral platforms for cross-border payments based on distributed ledger technology Ballaschk D., Drott C., Mitzlaff S.

      2024 | Journal of Payments Strategy & Systems, Vol. 18.

    • No more Tears without Tiers? The Impact of Indirect Settlement on liquidity use in TARGET2 Berndsen R., Diehl M., Heijmans R., Paulick J.

      2024 | Empirica: Journal of European Economics, Vol. 51, pp. 425-458.

    • Expectations formation, sticky prices, and the ZLB Bersson B., Hürtgen P., Paustian M.

      2024 | Journal of Money, Credit and Banking, Vol. 56(2-3), pp. 365-393.

    • Smart or Smash? The Effect of Financial Sanctions on Trade in Goods and Services Besedes T., Goldbach S., Nitsch V.

      2024 | Review of International Economics, Vol. 32(1), pp. 223-251.

    • Latent Fragility: Conditioning Banks' Joint Probability of Default on the Financial Cycle Bochmann P., Hiebert P., Schüler Y., Segoviano M.

      2024 | Journal of International Money and Finance, Vol. 146, 103107.

    • Import tariffs and transport prices Boddin D., Stähler F.

      2024 | Canadian Journal of Economics, Vol. 57(2), pp. 430-458.

    • The Empirical Performance of the Financial Accelerator since 2008 Boehl G., Strobel F.

      2024 | Journal of Economic Dynamics and Control, Vol. 167, 104927.

    • A Structural Investigation of Quantitative Easing Boehl G., Goy G., Strobel F.

      2024 | Review of Economics and Statistics, Vol. 106(4), pp. 1028-1044.

    • Estimation of DSGE models with the effective lower bound Boehl G., Strobel F.

      2024 | Journal of Economic Dynamics and Control, Vol. 158, 104784.

    • The effects of foreign carbon prices on German outward FDI Böschemeier J., Jochem A.

      2024 | Economics Letters, Vol. 234, 111499.

    • Assessing the Impact of Basel III: Review of Transmission Channels and Insights from Policy Models de Bandt O., Durdu B., Ichiue H., Mimir Y., Mohimont J., Nikolov K., Röhrs S., Sahuc J.G., Scalone V., Straughan M.

      2024 | International Journal of Central Banking, Vol. 20(1), pp. 1-52.

    • Effects of the ECB’s communication on government bond spreads Camarero Garcia S., Neugebauer F., Russnak J., Zimmermann L.

      2024 | Journal of International Money and Finance, Vol. 142, 103041.

    • How unemployment benefit duration shapes startup motivation and growth Camarero Garcia S., Murmann M.

      2024 | Small Business Economics.

    • Addressing COVID-19 Outliers in BVARs with SV Carriero A., Clark T.E., Marcellino M., Mertens E.

      2024 | Review of Economics and Statistics, Vol. 106(5), pp. 1304-1417.

    • Shock amplification in an interconnected financial system of banks and investment funds Covi G., Deipenbrock M., del Vecchio L., Fiedor P., Fukker G., Gehrend M., Gourdel R., Grassi A., Schilte A., Sydow M., Tente N.

      2024 | Journal of Financial Stability, Vol. 71, 101234.

    • Non-Standard Errors Dreber A., Holzmeister F., Huber J., Johannesson M., Kirchler M., Menkveld A.J., Neusüss S., Razen M., Schneider M., Weitzel U.

      2024 | Journal of Finance, Vol. 79(3), pp. 2339-2390.

    • The Effects of Sanctions on Russian Banks in TARGET2 Transactions Data Drott C., Goldbach S., Nitsch V.

      2024 | Journal of Economic Behavior and Organization, Vol. 219, pp. 38-51.

    • How do carbon prices spill over along global supply chains? The impact on Europe and German Frankovic I.

      2024 | Journal of Policy Modeling, Vol. 46, pp. 887-907.

    • The Role of Emissions Disclosure for the Low-Carbon Transition Frankovic I., Kolb B.

      2024 | European Economic Review, Vol. 167(August), 104792.

    • Internationalisation as a boost for many firms: Evidence from Germany Frey R., Goldbach S.

      2024 | Review of World Economics.

    • You Can't Always Get What You Want (Where You Want It): Cross-Border Effects of the US Money Market Fund Reform Fricke D., Greppmair S., Paludkiewicz K.

      2024 | Journal of International Economics, Vol. 147, 103846.

    • Zero-risk weights and capital misallocation Fueki T., Hürtgen P., Walker T.

      2024 | Journal of Financial Stability, Vol. 72, 101264.

    • Cryptocurrencies and Capital Flows: Evidence from El Salvador’s Adoption of Bitcoin Goldbach S., Nitsch V.

      2024 | Applied Economics Letters.

    • Retained Earnings, Foreign Portfolio Ownership, and the German Current Account: A Firm-Level Approach Goldbach S., Harms P., Jochem A., Nitsch V., Weichenrieder A.J.

      2024 | GERMAN Economic Review, Vol. 25(2), pp. 127-145.

    • Inequality and the Structure of Countries’ External Liabilities Harms P., Hoffmann M., Kohl M., Krahnke T.

      2024 | Review of World Economics/Weltwirtschaftliches Archiv, Vol. 169, pp. 586-613.

    • Bayesian VARs and Prior Calibration in Times of COVID-19 Hartwig B.

      2024 | Studies in Nonlinear Dynamics and Econometrics, Vol. 28(1), pp. 1-24.

    • How good are banks' forecasts? Heckmann-Draisbach L., Memmel C.

      2024 | International Review of Financial Analysis, Vol. 95, 103475.

    • Different Effects of Carbon Pricing and Border Adjustment in Germany and Spain Hinterlang N.

      2024 | Economic Modelling, Vol. 141, 106840.

    • The Development of Central Bank Independence: Empirical Evidence Höfer A., Jaenke K.

      2024 | Credit and Capital Markets (Kredit und Kapital), Vol. 56(2), pp. 123-144.

    • Robust Real Rate Rules Holden T.

      2024 | Econometrica, Vol. 92 (5), pp. 1521-1551.

    • Macroprudential capital regulation and fiscal balances in the euro area Hristov N., Huelsewig O., Kolb B.

      2024 | Journal of International Money and Finance, Vol. 143(May), 103074.

    • Gender Norms and the Gender Gap in Higher Education Huber S.J., Paule-Paludkiewicz H.

      2024 | Labour Economics, Vol. 87, 102491.

    • Financial Debt Contracting and Managerial Agency Imbierowicz B., Streitz D.

      2024 | Financial Management, Vol. 53(1), pp. 99-118.

    • What Moves Markets? Kerßenfischer M., Schmeling M.

      2024 | Journal of Monetary Economics, Vol. 145, 103560.

    • US trade policy and the US dollar Khalil M., Strobel F.

      2024 | Journal of International Economics, Vol. 151, 103970.

    • The impact of weight shifts on inflation: Evidence for the euro area HICP Knetsch T.A., Schwind P., Weinand S.

      2025 | Journal of Official Statistics, Vol 41 (1), pp. 238-254.

    • Bank's strategic interaction, adverse price dynamics and systemic liquidity risk Krüger U., Roling C., Silbermann L., Wong L.

      2024 | Journal of Banking Regulation

    • GMM Weighting Matrices in Cross-Sectional Asset Pricing Tests Laurinaityte N., Meinerding C., Schlag C., Thimme J.

      2024 | Journal of Banking and Finance, Vol. 162, 107123.

    • Labor Market Institutions and Technology-Induced Labor Adjustment along the Extensive and Intensive Margins Rujin S.

      2024 | Journal of Macroeconomics, Vol. 79, 103571.

    • Consumption Taxation to Finance Pension Payments Ruppert K., Schön M., Stähler N.

      2024 | Economic Modelling, Vol. 130, 106570.

    • Filtering economic time series: On the cyclical properties of Hamilton's regression filter and the Hodrick-Prescott filter Schüler Y.

      2024 | Review of Economic Dynamics, Vol. 54, 101237.

    • The Impact of Natural Disasters on Banks' Impairment Flow – Evidence from Germany Schumacher B.,Shala I.

      2024 | Journal of Climate Finance, Vol. 6, 12.

    • Seasonal Adjustment of Infra-Monthly Time Series with JDemetra+ Webel K., Smyk A.

      2024 | Journal of Official Statistics, Vol. 40(4), pp. 783-828.

  • 2023
    • Exchange Rate Risk, Banks' Currency Mismatches, and Credit Supply Abbassi P., Bräuning F.

      2023 | Journal of International Economics, Vol. 141, 103725.

    • Financial shocks and inflation dynamics Abbate A., Eickmeier S., Prieto Fernandez E.

      2023 | Macroeconomic Dynamics, Vol. 27(2), pp. 350-378.

    • Estimating the Optimal Inflation Target from Trends in Relative Prices Adam K., Weber H.

      2023 | American Economic Journal: Macroeconomics, Vol. 15(3), pp. 1-42.

    • Leaping into the dark: A theory of policy gambles Anand K., Gai P., König P.

      2023 | Journal of Comparative Economics, Vol. 51(2), pp. 457-476.

    • Connectedness between G10 Currencies: Searching for the Causal Structure Bettendorf T., Heinlein R.

      2023 | International Journal of Finance and Economics, Vol. 28(4), pp. 3938-3959.

    • TARGET balances in the euro area: The case of Germany Bettendorf T., Jochem A.

      2023 | Applied Economics, Vol. 55(29), pp. 3317-3328.

    • Time-variation in the Effects of Push and Pull Factors on Portfolio Flows: Evidence from a Bayesian Dynamic Factor Model Bettendorf T., Karadimitropoulou A.

      Journal of Economic Dynamics and Control, Vol. 156, 104756.

    • Back to the Roots of Internal Credit Risk Models: Does Risk Explain Why Banks’ Risk-Weighted Asset Levels Converge over Time? Böhnke V., Ongena S., Paraschiv F., Reite E. J.

      2023 | Journal of Banking & Finance, Vol. 156, 106992.

    • The Dynamic Effects of Monsoon Rainfall Shocks on Agricultural Yield, Wages, and Food Prices in India Brey B., Hertweck M. S.

      2023 | Scandinavian Journal of Economics (formerly: Swedish Journal of Economics), Vol. 125(3), pp. 616-654.

    • Does forward guidance of the ECB matter for the accuracy of private sector inflation forecasts? Burden D., Fendel R., Zimmermann L.

      2023 | Applied Economics Letters, Vol. 30(9), pp. 1213-1217.

    • A Note on Contraception, Social Norms and Growth Cavalcanti T., Kocharkov G., Santos C.

      2023 | Macroeconomic Dynamics, Vol. 27(3), pp. 869 - 878.

    • Reversal Interest Rate and Macroprudential Policy Darracq Pariès M., Kok C., Rottner M.

      2023 | European Economic Review, Vol. 159, 104572.

    • Extreme Inflation and Time-Varying Expected Consumption Growth Dergunov I., Meinerding C., Schlag C.

      2023 | Management Science, Vol. 69(5), pp. 2972-3002.

    • Labor adjustment and productivity in the OECD Dossche M., Gazzani A, Lewis V.

      2023 | Review of Economic Dynamics, Vol. 47, pp. 111-130.

    • Freeze! Financial Sanctions and Bank Responses Efing M., Goldbach S., Nitsch V.

      2023 | Review of Financial Studies, Vol. 36(11), 4417–4459.

    • The Consequences of U.S. Technology Changes for Productivity in Advanced Economies Elstner S., Rujin S.

      2023 | Macroeconomic Dynamics, Vol. 27(3), 718–742.

    • Evaluating Data Fusion Methods to Improve Income Modeling Emmenegger J., Münnich R., Schaller J.

      2023 | Journal of Survey Statistics and Methodology, Vol. 11(3), pp. 643-667.

    • Preferences over Taxation of High-Income Individuals: Evidence from a Survey Experiment Engelmann D., Janeba E., Mechtenberg L., Wehrhöfer N.

      2023 | European Economic Review, Vol. 157, pp. 104505.

    • Nowcasting GDP with a pool of factor models and a fast estimation algorithm Eraslan S., Schröder M.

      2023 | International Journal of Forecasting, Vol. 39(3), pp. 1460-1476.

    • Carbon Pricing, Border Adjustment and Climate Clubs: Options for International Cooperation Ernst A., Hinterlang N., Mahle A., Stähler N.

      2023 | Journal of International Economics, Vol. 144, pp. 103772.

    • Anchored Inflation Expectations Eusepi S., Moench E., Preston B., Viana de Carvalho C.

      2023 | American Economic Journal: Macroeconomics, Vol. 15(1), pp. 1-47.

    • Health insurance, endogenous medical progress, and health expenditure growth Frankovic I., Kuhn M.

      2023 | Journal of Health Economics, Vol. 87, 102717.

    • Connected Funds Fricke D., Wilke H.

      2023 | Review of Financial Studies, 36(11), 4546–4587.

    • 40 years of economic reform - The case of Pudong new area open economic zone in Shanghai Gilroy B.M., Peitz C., Seiler V., Stöckmann N.

      2023 | Applied Economics, Vol. 55(16), pp. 1845-1858.

    • The Preferential Treatment of Green Bonds Giovanardi F., Kaldorf M., Radke L., Wicknig F.

      2023 | Review of Economic Dynamics, Vol. 51, pp. 657-676.

    • On the importance of fiscal space: Evidence from short sellers during the COVID-19 pandemic Greppmair S., Jank S., Smajlbegovic E.

      2023 | Journal of Banking and Finance, Vol. 147, 106652.

    • Capital Controls Checkup: Cases, Customs, Consequences Goldbach S., Nitsch V.

      2023 | IMF Economic Review, Vol. 71(4), 885–906.

    • Lighting up the dark: liquidity in the German corporate bond market Gündüz Y., Pelizzon L., Schneider M., Subrahmanyam M.G.

      2023 | Journal of Fixed Income, Vol. 33(1), pp. 5-41.

    • The Market Impact of Systemic Risk Capital Surcharges Gündüz Y.

      2023 | European Financial Management, Vol. 29(5), pp. 1401-1440.

    • The role of stickiness, extrapolation and past consensus forecasts in macroeconomic expectations Hagenhoff T., Lustenhouwer J.

      2023 | Journal of Economic Dynamics and Control, Vol. 149, 104638.

    • Decomposing the Yield Curve with Linear Regressions and Survey Information Halberstadt A.

      2023 | Quarterly Review of Economics and Finance, Vol. 91, pp. 25-39.

    • Effects of Mergers on Network Models of the Financial System Heckmann-Draisbach L., Nevermann D.H.

      2023 | International Review of Financial Analysis, Vol. 90, 102931.

    • 40 years of economic reform – The case of Pudong new area open economic zone in Shanghai Gilroy B.M., Peitz C., Seiler V., Stöckmann N.

      2023 | Applied Economics, Vol. 55(16), pp. 1845-1858.

    • Quantifying bias and inaccuracy of upper-level aggregation in HICPs for Germany and the euro area Herzberg J., Knetsch T.A., Schwind P., Weinand S.

      2023 | Review of Income and Wealth, Vol. 69(3), pp. 581-605.

    • Gauging the Effects of the German COVID-19 Fiscal Stimulus Package Hinterlang N., Moyen S., Röhe O., Stähler N.

      2023 | European Economic Review, Vol. 154(May), 104407.

    • Existence and uniqueness of solutions to dynamic models with occasionally binding constraints Holden T.

      2023 | Review of Economics and Statistics, Vol. 105(6), pp. 1481-1499.

    • Exploring the roles of green finance and environmental regulations on CO2 emissions Jia Z., Mehmood U., Shi M.

      2023 | Environmental Science and Pollution Research, Vol. 30, 62967–62980.

    • Central Bank Digital Currency Competition and the Impossible Trinity Karau S.

      2023 | Finance Research Letters, Vol. 54, 103723.

    • Monetary Policy and Bitcoin Karau S.

      2023 | Journal of International Money and Finance, Vol. 137, 102880.

    • Insolvency regimes and cross-border investment decisions Kliatskova T., Savatier L. B., Schmidt M.

      2023 | Journal of International Money and Finance, Vol. 131, 102795.

    • Indeterminacy and Imperfect Information Lubik, T.A., C. Matthes and E. Mertens

      2023 | Review of Economic Dynamics, Vol. 49, pp. 37-57.

    • Estimating the country-specific effects of shocks to interest rate expectations in the Euro area Mandler M., Scharnagl M.

      2023 | Journal of Forecasting, Vol. 42(3), pp. 643-656.

    • Does Wealth Inequality Affect the Transmission of Monetary Policy? Matusche A., Wacks J.

      2023 | Journal of Macroeconomics, Vol. 75, pp. 103474.

    • Households' Inflation Expectations and Concern about Climate Change Meinerding C., Poinelli A., Schüler Y.

      2023 | European Journal of Political Economy, Vol. 80, 102451.

    • Pandemic Recessions and Contact Tracing Melosi L., Rottner M.

      2023 | Journal of the European Economic Association, Vol. 21(6), pp. 2485-2517.

    • Precision-based sampling for state space models that have no measurement error Mertens E.

      2023 | Journal of Economic Dynamics and Control, Vol. 154, 104720.

    • Economic analysis using higher frequency time series: Challenges for seasonal adjustment Ollech D.

      2023 | Empirical Economics, Vol. 64(3), pp. 1375-1398.

    • A Random Forest-based Approach to Combining and Ranking Seasonality Tests Ollech D., Webel K.

      2023 | Journal of Econometric Methods, Vol. 12(1), pp. 117-130.

    • Estimation of Heterogeneous Agent Models: A Likelihood Approach Parra-Alvarez J.C., Posch O., Wang M.

      2023 | Oxford Bulletin of Economics and Statistics (formerly: Bulletin of the Institute of Economics and Statistics), Vol. 85(2), pp. 304-330.

    • Financial Crises and Shadow Banks: A Quantitative Analysis Rottner M.

      2023 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy), Vol. 139(October), pp. 74-92.

    • Implementing (Un)fair Procedures: Containing Favoritism When Unequal Outcomes are Inevitable Schmidt R., Trautmann S.

      2023 | Journal of Law, Economics, and Organization, Vol. 39(1), pp. 199-234.

    • Demographic change and the rate of return in pay-as-you-go pension systems Schön M.

      2023 | Journal of Population Economics, Vol. 36(3), pp. 1799-1827.

    • Long-term liquidity effects of large-scale asset purchase programs: Evidence from the euro covered bond market Weigerding M.

      2023 | International Review of Economics and Finance, Vol. 87, pp. 244-264.

    • Calibration alternatives to logistic regression and their potential for transferring the dispersion of discriminatory power into uncertainties of probabilities of default Wosnitza J.H.

      2023 | Journal of Credit Risk, Vol. 19(1), pp. 1-29.

  • 2022
    • Cross-border liquidity, relationships and monetary policy: Evidence from the Euro area interbank crisis Abbassi P., Bräuning F., Fecht F., Peydró J. L.

      2022 | Journal of International Economics, Vol. 139, 103657.

    • Bank Use of Sovereign CDS in the Eurozone Crisis: Hedging and Risk Incentives Acharya, V., Gündüz Y., Johnson T.C.

      2022 | Journal of Financial Intermediation, Vol. 50, 100964.

    • The Case for a Positive Euro Area Inflation Target: Evidence from France, Germany and Italy Adam K., Gautier E., Santoro S., Weber H.

      2022 | Journal of Monetary Economics, Vol. 132, pp. 140-153.

    • Austerity and Distributional Policy Alpino M., Asatryan Z., Blesse S., Wehrhöfer N.

      2022 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy), Vol. 131, pp. 112-127.

    • The value of data privacy during the COVID-19 pandemic: a new set of survey questions Anand K., Helmschrott S., Schmidt T., Zhou S.

      2022 | Measurement Instruments for the Social Sciences, Vol. 4, 10 (2022).

    • Growth Prospects and the Trade Balance in Advanced Economies Belke A., Elstner S., Rujin S.

      2022 | Oxford Bulletin of Economics and Statistics (formerly: Bulletin of the Institute of Economics and Statistics), Vol. 84(5), pp. 1209-1234.

    • Firm-Specific Forecast Errors and Asymmetric Investment Propensity Berner J., Buchholz M., Tonzer L.

      2022 | Economic Inquiry (formerly: Western Economic Journal), Vol. 60(2), pp. 764-793.

    • Global risk and portfolio flows to emerging markets: Evidence from irish-resident investment funds Bianchi B., Galstyan V., Herzberg V.

      2022 | Journal of International Money and Finance, Vol. 123, 102600.

    • Labor Tax Reductions in Europe: The Role of Property Taxation Bielecki M., Stähler N.

      2022 | Macroeconomic Dynamics, Vol. 26(2), pp. 419-451.

    • A Structural Quantitative Analysis of Services Trade De-liberalization Blank S., Egger P., Merlo V., Wamser G.

      2022 | Journal of International Economics, Vol. 137, 103605.

    • On the sensitivity of trade costs to services-trade restrictions Blank S., Egger P.

      2022 | World Economy, Vol. 45(3), pp. 592-607.

    • Servitization, Inequality, and Wages Boddin D., Kroeger T.

      2022 | Labour Economics, Vol. 77, 102011.

    • Corporate taxes and investment when firms are internationally mobile Brasch T.v., Frankovic I., Tölö E.

      2022 | International Tax and Public Finance, Vol. 30, 1297–1330.

    • The role of non-performing loans for bank lending rates (Formerly: The role of non-performing loans in the transmission of monetary policy) Bredl S.

      2022 | Jahrbücher für Nationalökonomie und Statistik, Vol. 242(2), pp. 223-276.

    • Banking deregulation, macroeconomic dynamics and monetary policy Buch C., Eickmeier S., Prieto Fernandez E.

      2022 | Journal of Financial Stability, Vol. 63, 101057.

    • German Banks` Behavior in the Low Interest Rate Environment Busch R., Littke H., Memmel C., Niederauer S.

      2022 | Financial Markets and Portfolio Management (formerly: Finanzmarkt und Portfolio Management), Vol. 36(3), pp. 267-296.

    • Backtesting Macroprudential Stress Tests Caccioli F., Fricke D., Ramadiah A.

      2022 | Journal of Economic Dynamics and Control, Vol. 137, 104333.

    • Inequality of Educational Opportunities and the Role of Learning Intensity Camarero Garcia S.

      2022 | Labour Economics, Vol. 74(C), 102084.

    • Missing the Wealthy in the HFCS: Micro Problems with Macro Implications Chakraborty R., Waltl S.

      2022 | The Journal of Economic Inequality, Vol. 20(1), pp. 169-203.

    • The Impact of US Tariffs against China on US Imports: Evidence for Trade Diversion? Cigna S., Meinen P., Schulte P., Steinhoff N.

      2022 | Economic Inquiry (formerly: Western Economic Journal), Vol. 60(1), pp. 162-173.

    • Euro area banks' interest rate risk exposure to level, slope and curvature swings in the yield curve Foos D., Lütkebohmert E., Markovych M., Pliszka K.

      2022 | European Financial Management, Vol. 28(4), pp. 883-925.

    • A Pay Change and Its Long-term Consequences Friebel G., Krüger M.

      2022 | Journal of Labor Economics, Vol. 40(3), pp. 543-572.

    • Financial Integration and Business Cycle Synchronization: Evidence from U.S. States Goetz M., Gozzi J.C.

      2022 | Journal of International Economics, Vol. 135, 103561.

    • Covid-19 and Capital Flows: The Responses of Investors to the Responses of Governments Goldbach S., Nitsch V.

      2022 | Open Economies Review, Vol. 33(4), pp. 751-774.

    • Injunctive vs. Descriptive Social Norms and Reference Group Dependence Heinicke F., König C., Schmidt R.

      2022 | Journal of Economic Behavior and Organization, Vol. 195, pp. 199-218.

    • Using Coordination Games to Measure Beliefs Heinicke F., König C., Schmidt R.

      2022 | Economics Letters, Vol. 219, 110821.

    • Foreign Exchange Interventions under a Minimum Exchange Rate Regime and the Swiss Franc Hertrich M.

      2022 | Review of International Economics, Vol. 30(2), pp. 450-489.

    • Classification of Monetary and Fiscal Dominance Regimes Using Machine Learning Techniques Hinterlang N., Hollmayr J.

      2022 | Journal of Macroeconomics, Vol. 74, 103469.

    • Using Energy and Emission Taxation to Finance Labor Tax Reductions in a Multi-Sector Economy Hinterlang N., Martin A., Röhe O., Stähler N., Strobel J.

      2022 | Energy Economics, Vol. 115, 106381.

    • Would Households Understand Average Inflation Targeting? Hoffmann M., Mönch E., Pavlova L., Schultefrankenfeld G.

      2022 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy), Vol. 129(S), pp. 52-66.

    • Uncertainty Shocks and Systemic-Risk Indicators Hristov N., Roth M.

      2022 | Journal of International Money and Finance.

    • Nevertheless, they persist: Cross-Country Differences in Homeownership Behavior Huber S.J., Schmidt T.

      2022 | Journal of Housing Economics, Vol. 55, 101804.

    • Re-Allocating Taxing Rights and Minimum Tax Rates in International Profit Taxation Kempkes G., Stähler N.

      2022 | Journal of Government and Economics, Vol. 7(Autumn), 100048.

    • Information effects of euro area monetary policy Kerßenfischer M.

      2022 | Economics Letters, Vol. 216, 110570.

    • Information effects of euro area monetary policy Kerßenfischer, M.

      2022 | Journal of Economics and Statistics, Vol. 239(5-6), pp. 895-916.

    • The Fay-Herriot model for multiply imputed data with an application to regional wealth estimation in Germany Kreutzmann A., Marek P., Runge M., Salvati N., Schmid T.

      2022 | Journal of Applied Statistics, Vol. 49(13), pp. 3278-3299.

    • Oil prices, manufacturing goods, and nontradeable services Khalil M.

      2022 | Journal of International Economics, Vol. 134, 103553.

    • Interest rate shocks, competition and bank liquidity creation Kick T.

      2022 | Financial Markets and Portfolio Management (formerly: Finanzmarkt und Portfolio Management), Vol. 1(1), pp. 1-33.

    • (Un)expected Monetary Policy Shocks and Term Premia Kliem M., Meyer-Gohde A.

      2022 | Journal of Applied Econometrics, Vol. 37(3), pp. 477-499.

    • Forecast Uncertainty, Disagreement, and the Linear Pool Knüppel M., Krüger F.

      2022 | Journal of Applied Econometrics, Vol. 37(1), pp. 23-41.

    • Safe but Fragile: Information Acquisition and Shadow Bank Runs König P., Pothier D.

      2022 | Journal of Financial Intermediation, Vol. 56, pp. 100898.

    • Economic Theories and Macroeconomic Reality Loria F., Matthes C., Wang M.

      2022 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy), Vol. 126, pp. 105-117.

    • Financial cycles across G7 economies: a view from wavelet analysis Mandler M., Scharnagl M.

      2022 | Journal of Economic Asymmetries, Vol. 26, e00277.

    • Financial Cycles in European Economies: A cross-country perspective using wavelet analysis Mandler M., Scharnagl M.

      2022 | Oxford Bulletin of Economics and Statistics (formerly: Bulletin of the Institute of Economics and Statistics), Vol. 84(3), pp. 569-593.

    • Heterogeneity in euro-area monetary policy transmission: results from a large multi-country BVAR model Mandler M., Scharnagl M., Volz U.

      2022 | Journal of Money, Credit and Banking, Vol. 54(2-3), pp. 627-649.

    • Capital Forbearance in the Bank Recovery and Resolution Game Martynova N., Perotti E., Suarez J.

      2022 | Journal of Financial Economics, Vol. 146(3), pp. 884-904.

    • Banks’ complexity-risk nexus and the role of regulation Martynova N., Vogel U.

      2022 | Journal of Banking and Finance, Vol. 134, 106120.

    • Managers as Knowledge Carriers – Explaining Firms' Internationalization Success with Manager Mobility Meinen P., Parrotta P., Sala D., Yalcin E.

      2022 | Journal of International Economics, Vol. 138, 103633.

    • Markups and Financial Shocks Meinen P., Soares A.C.

      2022 | Economic Journal, Vol. 132(647), pp. 2471-2499.

    • A Note of Caution on Quantifying Banks' Recapitalization Effects Noth F., Schmidt K., Tonzer L.

      2022 | Journal of Money, Credit and Banking, Vol. 54(4), pp. 1123-1133.

    • Time-Varying Dynamics of the German Business Cycle: A Comprehensive Investigation Reif M.

      2022 | Oxford Bulletin of Economics and Statistics (formerly: Bulletin of the Institute of Economics and Statistics), Vol. 84(1), pp. 80-102.

    • What Drives the German Current Account? Household Savings, Capital Investments and Public Policies Ruppert K., Stähler N.

      2022 | Economic Modelling, Vol. 108, 105769.

    • Using Coordination Games to Measure Beliefs Heinicke F., König C., Schmidt R.

      2022 | Economics Letters, Vol. 219, pp. 110821

    • Firm-Level Employment, Labour Market Reforms, and Bank Distress Setzer R., Stieglitz M.

      2022 | Journal of International Money and Finance, Vol. 120, 102324

    • Measuring spatial price differentials at the basic heading level: a comparison of stochastic index number methods Weinand S.

      2022 | AStA Advances in Statistical Analysis, Vol. 106, pp. 117-143.

  • 2021
    • Bargaining Power and Outside Options in the Interbank Lending Market Abbassi P., Bräuning F., Schulze N.

      2021 | Financial Management, Vol. 50(2), pp. 553-586.

    • Demand Effects in the FX Forward Market: Micro Evidence from Banks' Dollar Hedging Abbassi P., Bräuning F.

      2021 | Review of Financial Studies, Vol. 34(9), pp. 4177-4215.

    • Predictive Modeling in Marketing: Ensemble Methods for Response Modeling Alves Werb G., Schmidberger M.

      2021 | Die Unternehmung – Swiss Journal of Business Research and Practice, Vol. 75(3), pp. 376-296.

    • Social capital and the spread of Covid-19: Insights from European countries Bartscher A., Seitz S., Siegloch S., Slotwinski M., Wehrhöfer N.

      2021 | Journal of Health Economics, Vol. 80, 102531.

    • To whom do banks channel central bank funds? Bednarek P., Dinger V., te Kaat D.M., von Westernhagen N.

      2021 | Journal of Banking and Finance, Vol. 128, 106082.

    • Capital Flows, Real Estate, and Local Cycles: Evidence from German Cities, Banks, and Firms Bednarek P., Ma C., Rebucci A., te Kaat D.M.

      2021 | Review of Financial Studies, Vol. 34(10), pp. 5077-5134.

    • Cheap Talk? Financial Sanctions and Non-Financial Firms Besedeš T., Goldbach S., Nitsch V.

      2021 | European Economic Review, Vol. 134, 103688.

    • Toothless tiger with claws? Financial stability communication, expectations, and risk-taking Beutel J., Metiu N., Stockerl V.

      2021 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy) Vol. 120, pp. 53-69.

    • Hitting the Elusive Inflation Target Bianchi F., Melosi L., Rottner M.

      2021 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy), Vol. 124, pp. 107-122.

    • Melting constants in trade gravity's rainbow Blank S., Egger P.

      2021 | Economics Letters, Vol. 201.

    • Equilibrium Asset Pricing in Directed Networks Branger N., Konermann P., Meinerding C., Schlag C.

      2021 | Review of Finance (formerly: European Finance Review), Vol. 25(3), pp. 777-818.

    • How do regional labor markets adjust to immigration? A dynamic analysis for post-war Germany Braun S.T., Weber H.

      2021 | Journal of International Economics, Vol. 129, pp. 103416.

    • How far can we forecast? Statistical tests of the predictive content Breitung J., Knüppel M.

      2021 | Journal of Applied Econometrics, Vol. 36(4), pp. 369-392.

    • Why Macroprudential Policy Matters in a Monetary Union Buch C., Buchholz M., Knoll K., Weigert B.

      2021 | Oxford Economic Papers New Series, Vol. 73(4), pp. 1604-1633.

    • Why Are Interest Rates on Bank Deposits so Low? Busch R., Memmel C.

      2021 | Credit and Capital Markets (Kredit und Kapital), Vol. 54(4), pp. 641-668.

    • Family Planning and Development: Aggregate Effects of Contraceptive Use Cavalcanti T., Kocharkov G., Santos C.

      2021 | Economic Journal, Vol. 131(634), pp. 624-657.

    • Interviewer Effects and the Measurement of Financial Literacy Crossley T. F., Schmidt T., Tzamourani P., Winter J. K.

      2021 | Journal of the Royal Statistical Society. Series A: Statistics in Society, Vol. 184(1), pp. 150-178.

    • The Aggregate Consequences of Tax Evasion Di Nola A., Kocharkov G., Scholl A., Tkhir A.-M.

      2021 | Review of Economic Dynamics, Vol. 40, pp. 198-227.

    • Climate change: what role for central banks? Döhrmann D., Gerigk J., Mauderer S.

      2021 | Revue d’économie financière, Vol. 144, pp. 179-190.

    • Arising from the Ruins: The Impact of Natural Disasters on Reconstruction Labor Wages Döhrmann D., Gürtler M., Hibbeln M., Metzler R.

      2021 | International Journal of Disaster Risk Reduction, Vol. 59, 102210.

    • Interest and Credit Risk Management in German Banks: Evidence from a Quantitative Survey Dräger V., Heckmann-Draisbach L., Memmel C.

      2021 | GERMAN Economic Review, Vol. 22(1), pp. 63-95.

    • An unconventional weekly economic activity index for Germany Eraslan S., Götz T.

      2021 | Economics Letters, Vol. 204, 109881.

    • Systemic Bank Risk and Monetary Policy Faia E., Karau S.

      2021 | International Journal of Central Banking, Vol. 71, pp. 137-176.

    • Disagreement about Inflation Expectations and Monetary Policy Transmission Falck L., Hoffmann M., Hürtgen P.

      2021 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy), Vol. 118, pp. 15-31.

    • The nonlinear dynamics of corporate bond spreads Fischer H., Stolper O.

      2021 | Jahrbücher für Nationalökonomie und Statistik, Vol. 241(2), pp. 187-238.

    • Vulnerable Asset Management? The Case of Mutual Funds Fricke D., Fricke C.

      2021 | Journal of Financial Stability, Vol. 5 (2), 100800.

    • Large mixed-frequency VARs with a parsimonious time-varying paremeter structure Götz T., Hauzenberger K.

      2021 | Econometrics Journal, Vol. 24(3), pp. 442-461.

    • The tax-efficient use of debt in multinational corporations Goldbach S., Moen J., Schindler D., Schjelderup G., Wamser G.

      2021 | Journal of Corporate Finance, Vol. 71, 102119.

    • Macro stress testing dividend income: Evidence from euro area banks Groß C., Jarmuzek M., Pancaro C.

      2021 | Economics Letters, Vol. 201, 109763.

    • Identifying Indicators of Systemic Risk Hartwig B., Meinerding C., Schüler Y.

      2021 | Journal of International Economics, Vol. 132, 103512.

    • Going the Extra Mile: Effort by Workers and Job-Seekers Hertweck M. S., Lewis V., Villa S.

      2021 | Journal of Money, Credit and Banking, Vol. 53(8), pp. 2099-2127.

    • Rebalancing the Euro Area: Is Wage Adjustment in Germany the Answer? Hoffmann M., Kliem M., Krause M., Moyen S., Sauer R.

      2021 | Journal of International Money and Finance, Vol. 119, 102497.

    • Unconventional Monetary Policy in the Euro Area and the Sovereign-Bank Nexus Hristov N., Huelsewig O., Scharler J.

      2021 | International Journal of Central Banking, Vol. 17(3), pp. 337-383.

    • Fiscal sustainability during the COVID-19 pandemic Hürtgen P.

      2021 | Applied Economics, Vol. 53(39), pp. 4517-4532.

    • The transmission of bank capital requirements and monetary policy to bank lending in Germany Imbierowicz B., Löffler A., Vogel U.

      2021 | Review of International Economics, Vol. 29(1), pp. 144-164.

    • Flying Under the Radar: The Effects of Short-Sale Disclosure Rules on Investor Behavior and Stock Prices Jank S., Roling C., Smajlbegovic E.

      2021 | Journal of Financial Economics, Vol. 139(1), pp. 209-233.

    • A Time Series Model of Interest Rates With the Effective Lower Bound Johannsen B. K., Mertens E.

      2021 | Journal of Money, Credit and Banking, Vol. 53(5), pp. 1005-1046.

    • Low Homeownership in Germany – A Quantitative Exploration Kaas L., Kocharkov G., Preugschat E., Siassi N.

      2021 | Journal of the European Economic Association, Vol. 19(1), pp. 128-164.

    • Land leverage and the housing market: Evidence from Germany Kajuth F.

      2021 | Journal of Housing Economics, Vol. 51, 101746.

    • Compilation of commercial property price indices for Germany tailored for policy use Knetsch T.A.

      2021 | Jahrbücher für Nationalökonomie und Statistik, Vol. 241(4), pp. 437-461.

    • Time Preferences over the Life Cycle and Household Saving Puzzles Kureishi W., Paule-Paludkiewicz H., Tsujiyama H., Wakabayashi M.

      2021 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy), Vol. 124, pp. 123-139.

    • Banks Fearing the Drought? Liquidity Hoarding as a Response to Idiosyncratic Interbank Funding Dry-Ups Littke H., Ossandon Busch M.

      2021 | Journal of International Money and Finance, Vol. 119, 102474.

    • Anticipation effects of protectionist U.S. trade policies Metiu N.

      2021 | Journal of International Economics, Vol. 133, 103536.

    • A Risk Characterization of Regulatory Arbitrage in Financial Markets Minto A., Prinz S., Wulff M.

      2021 | European Business Organization Law Review, Vol. 22, pp. 719-752.

    • Interest Rate Risk of Life Insurers: Evidence from Accounting Data Möhlmann A.

      2021 | Financial Management, Vol. 50(2), pp. 587-612.

    • Dynamic pricing and exchange rate pass-through: Evidence from transaction-level data Nagengast A., Bursian D., Menz J.

      2021 | European Economic Review, Vol. 133, 103662.

    • Seasonal Adjustment of Daily Time Series Ollech D.

      2021 | Journal of Time Series Econometrics, Vol. 13(2), pp. 235-264.

    • Unconventional Monetary Policy, Bank Lending, and Security Holdings: The Yield-Induced Portfolio Rebalancing Channel Paludkiewicz K.

      2021 | Journal of Financial and Quantitative Analysis, Vol. 56(2), pp. 531-568.

    • Technological Growth and Hours in the Long Run: Theory and Evidence Reif M., Mewael F., Tesfaselassie M., Wolters M.

      2021 | Economica, Vol. 88(352), pp. 1016-1053.

    • Skill Bias magnified: Identifying the role of international technology diffusion Schulte P.

      2021 | Journal of International Economics, Vol. 129, 103442.

    • Determinants of substantial public debt reductions in Central and Eastern European Countries Semik S., Zimmermann L.

      2021 | Empirica: Journal of European Economics, Vol. 2022(49), pp. 53-70.

    • Closing the Loop in a Circular Economy: Saving Resources or Suffocating Innovations? Smulders S., Zhou S.

      2021 | European Economic Review, Vol. 139, 103857.

    • The Impact of Aging and Automation on the Macroeconomy and Inequality Stähler N.

      2021 | Journal of Macroeconomics, Vol. 67, 103278.

    • The interest rate exposure of euro area households Tzamourani P.

      2021 | European Economic Review, Vol. 132, 103643.

  • 2020
    • Does the Lack of Financial Stability Impair the Transmission of Monetary Policy? Acharya V. V., Imbierowicz B., Steffen S., Teichmann D.

      2020 | Journal of Financial Economics, Vol. 138(2), pp. 342-365.

    • The Panel on Household Finances (PHF) – Microdata on Household Wealth in Germany Altmann K., Bernard R., Le Blanc J., Gabor-Toth E., Hebbat M., Kothmayr L., Le Blanc J., Schmidt T., Tzamourani P., Werner D., Zhu J.

      2020 | German Economic Review, Vol. 21(3), pp. 373-400.

    • Asymmetric wage adjustment and employment in European firms Anderton R., Bairrao A., Berson C., Marotzke P., Tóth P.

      2020 | B.E. Journal of Macroeconomics: Contributions to Macroeconomics, Vol. 20(2), 20180254.

    • Procyclical Leverage in Europe and its Role in Asset Pricing Baltzer M., Koehl A., Reitz S.

      2020 | Journal of International Money and Finance, Vol. 107, 102220.

    • Interest rate bands of inaction and play-hysteresis in domestic investment –Evidence for the Euro Area Belke A., Frenzel Baudisch C., Göcke M.

      2020 | Journal of Economic Behavior and Organization, Vol. 175, pp. 19-39.

    • The Real Effects of Bank Distress: Evidence from Bank Bailouts in Germany Bersch J., Degryse H., Kick T., Stein I.

      2020 | Journal of Corporate Finance, Vol. 60, 101521.

    • Microdatabase Direct Investment (MiDi) – A full survey of German inward and outward investment Blank S., Lipponer A., Schild C., Scholz D.

      2020 | GERMAN Economic Review, Vol. 21(3), pp. 273-311.

    • Interactions between bank levies and corporate taxes: How is the bank leverage affected? Bremus F., Schmidt K., Tonzer L.

      2020 | Journal of Banking and Finance, Vol. 118, 105874.

    • The Extension of Short-Time Work Schemes during the Great Recession: A Story of Success? Brey B., Hertweck M. S.

      2020 | Macroeconomic Dynamics, Vol. 24(2), pp. 360-402.

    • Negative Monetary Policy Rates and Systemic Banks' Risk-Taking: Evidence from the Euro Area Securities Register Bubeck J., Maddaloni A., Peydró J.

      2020 | Journal of Money, Credit and Banking, Vol. 52(S1), pp. 197-231.

    • Frictions in the Interbank Market and Uncertain Liquidity Needs: Implications for Monetary Policy Implementation Bucher M., Hauck A., Neyer U.

      2020 | Economic Theory, Vol. 70, pp. 165-222.

    • Do Conventional Monetary Policy Instruments Matter in Unconventional Times? Buchholz M., Schmidt K., Tonzer L.

      2020 | Journal of Banking and Finance, Vol. 118, 105858.

    • Offshoring and the polarization of the demand for capital Bursian D., Nagengast A.

      2020 | Economic Inquiry (formerly: Western Economic Journal), Vol. 58(1), pp. 260-282.

    • Modeling Time-Varying Uncertainty of Multiple-Horizon Forecast Errors Clark T. E., McCracken M. W., Mertens E.

      2020 | Review of Economics and Statistics, Vol. 102(1), pp. 17-33.

    • Benign Neglect of Covenant Violations: Blissful Banking or Ignorant Monitoring? Colonnello S., Koetter M., Stieglitz M.

      2020 | Economic Inquiry (formerly: Western Economic Journal), Vol. 59(1), pp. 459-477.

    • Revisiting Real Exchange Rate Volatility: Non-Traded Goods and Cointegrated TFP Shocks Dogan A., Bettendorf T.

      2020 | Oxford Economic Papers New Series, Vol. 72(1), pp. 80-100.

    • Growth expectations, undue optimism, and short-run fluctuations Enders Z., Kleemann M., Müller G.

      2021 | Review of Economics and Statistics, Vol. 103(5), pp. 905-921.

    • ECB’s Communication and the Yield Curve: Core versus Periphery Effects Fendel R., Neugebauer F., Kilinc M.

      2021 | Applied Economics Letters, 28(8), 630-634.

    • The Effects of Borrower-Based Macroprudential Policy – An Empirical Application to Korea Franz T.

      2020 | International Journal of Central Banking, Vol. 16(5), pp. 47.

    • What Drives Germany's Exports? Frenkel M., Zimmermann L.

      2020 | International Journal of Management and Economics, Vol. 56(2), pp. 99-108.

    • The Power of Forward Guidance in a Quantitative TANK Model Gerke R., Giesen S., Scheer A.

      2020 | Economics Letters, Vol. 186, 108827.

    • Expectation formation in a new environment: Evidence from the German reunification Goldfayn-Frank O., Wohlfart J.

      2020 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy), Vol. 115, pp. 301-320.

    • Model and estimation risk in credit risk stress tests Grundke P., Pliszka K., Tuchscherer M.

      2020 | Review of Quantitative Finance and Accounting, Vol. 55, pp. 163-199. 

    • Credit Crunches from Occasionally Binding Bank Borrowing Constraints Holden T., Levine P., Swarbrick J.

      2020 | Journal of Money, Credit and Banking, Vol. 52(2-3), pp. 549-582.

    • Capital flows in the euro area and TARGET2 balances Hristov, N., Huelsewig O., Wollmershaeuser T.

      2020 | Journal of Banking and Finance, Vol. 113, 105734.

    • Cross-border transmission of emergency liquidity Kick T., Koetter M., Storz M.

      2020 | Journal of Banking and Finance, Vol. 113, 105300.

    • Loan supply and bank capital: A micro-macro linkage Kick T., Malinkovich S., Merkl C.

      2020 | Journal of International Money and Finance, Vol. 104, 102166.

    • Borrowers under water! Rare disasters, regional banks, and recovery lending Koetter M., Noth F., Rehbein O.

      2020 | Journal of Financial Intermediation, Vol. 43, 100811.

    • The financial accelerator and marketable debt: the prolongation channel Kühl M.

      2020 | B.E. Journal of Macroeconomics: Contributions to Macroeconomics (formerly: Contributions to Macroeconomics), Vol. 20(1)

    • Beta Dispersion and Market Timing Kuntz L.

      2020 | Journal of Empirical Finance, Vol. 59, pp. 235-256.

    • Bank loan supply shocks and alternative financing of non-financial corporations in the euro area Mandler M., Scharnagl M.

      2020 | The Manchester School, Vol. 88(S1), pp. 126-150.

    • Discussion of Rising Bank Concentration by Dean Corbae and Pablo D'Erasmo Mankart J.

      2020 | Journal of Economic Dynamics and Control, Vol. 115, 103878.

    • Comments on “Rising Bank Concentration” Mankart J.

      2020 | Journal of Economic Dynamics and Control, Vol 115, 103878.

    • Bank Capital Buffers in a Dynamic Model Mankart J., Michaelides A., Pagratis S.

      2020 | Financial Management, Vol. 49(2), pp. 473-502.

    • Bank Profitability, Leverage Constraints, and Risk-Taking Martynova N., Ratnovski L., Vlahu R.

      2020 | Journal of Financial Intermediation, Vol. 44, 100821.

    • Fieldwork Monitoring in Practice: Insights from 17 Large-scale Social Science Surveys in Germany Meitinger K., Stadtmüller S., Silber H., Auriga R., Bergmann M., Blohm M., Blumenberg M., Christmann P., Felderer B., Frodermann C., Griese F., Gummer T., Hähnel S., Koch A., Kottwitz A., Krell K., Krieger U., Liebau E., Martin S., Müller-Kuller A., Rammstedt B., Schaurer I., Scherpenzeel A., Schmiedeberg C., Schmidt T., Schnaudt C., Zabal A.

      2020 | Survey Methods: Insights from the Field.

    • What drives the short-term fluctuations of banks' exposure to interest rate risk? Memmel C.

      2020 | Review of Financial Economics, Vol. 38(4), pp. 674-686.

    • Inflation and Professional Forecast Dynamics: An Evaluation of Stickiness, Persistence, and Volatility Mertens E., Nason J.M.

      2020 | Quantitative Economics, Vol. 11(4), pp. 1485-1520.

    • Reconstructing and Stress Testing Credit Networks Ramadiah A., Caccioli F., Fricke D.

      2020 | Journal of Economic Dynamics and Control, Vol. 111, 103817.

    • The Market Microstructure of Central Bank Bond Purchases Schlepper K., Hofer H., Riordan R., Schrimpf A.

      2020 | Journal of Financial and Quantitative Analysis, Vol. 55(1), pp. 193-221.

    • Norms in the lab: Inexperienced versus experienced participants Schmidt R., Schwieren C., Sproten A.

      2020 | Journal of Economic Behavior and Organization, Vol. 173, pp. 239-255.

    • The value of verbal feedback in allocation decisions Schmidt R., Schwieren C., Vollmann M.

      2020 | Journal of Behavioral and Experimental Economics, Vol. 87(101548 ), pp. 101548.

    • Financial cycles: Characterisation and real-time measurement Schüler Y., Hiebert P., Peltonen T.

      2020 | Journal of International Money and Finance, Vol. 100, 102082.

    • On the credit-to-GDP gap and spurious medium-term cycles Schüler Y.

      2020 | Economics Letters, Vol. 192, pp. 109245.

    • Appropriate monetary policy and forecast disagreement at the FOMC Schultefrankenfeld G.

      2020 | Empirical Economics, Vol. 58, pp. 223-255.

    • O-SII designation and deposit funding costs Vogel U.

      2020 | Economics Letters, Vol. 192, 109261.

    • Anatomy of Regional Price Differentials: Evidence From Micro Price Data von Auer L., Weinand S.

      2020 | Spatial Economic Analysis, Vol. 15(4), pp. 413-440.

  • 2019
    • Optimal Trend Inflation Adam K., Weber H.

      2019 | American Economic Review, Vol. 109(2), pp. 702-737.

    • Asset encumbrance, Bank Funding, and Financial Fragility Ahnert T., Anand K., Gai P., Chapman J.

      2019 | Review of Financial Studies, Vol. 32(6), pp. 2422-2455.

    • The response of asset prices to monetary policy shocks: stronger than thought Alessi L., Kerßenfischer M.

      2019 | Journal of Applied Econometrics, Vol. 34(5), pp. 661-672.

    • Pre-emptive sovereign debt restructuring and holdout litigation Anand K., Gai P.

      2019 | Oxford Economic Papers New Series, Vol. 71(2), pp. 364-381.

    • Firm Heterogeneity and Aggregate Business Services Exports: Micro Evidence from Belgium, France, Germany and Spain Ariu A., Biewen E., Blank S., Gaulier G., González M., Meinen P., Mirza D., Martín C., Tello P.

      2019 | The World Economy, Vol. 42(2), pp. 564–589.

    • Non-Base Wage Components as a Source of Wage Adaptability to Shocks: Evidence from European Firms, 2010-2013 Babecký J., Berson C., Fadejeva L., Lamo A., Marotzke P., Martins F., Strzelecki P.

      2019 | IZA Journal of Labor Policy, Vol. 8(1), pp. 1-18.

    • Who trades on momentum? Baltzer M., Jank S., Smajlbegovic E.

      2019 | Journal of Financial Markets, Vol. 42, pp. 56-74.

    • Of Leaders and Followers - An Econometric Analysis of Equity Analysts and Stock Market Investors Baule R., Wilke H.

      2019 | International Journal of Finance and Economics, Vol. 24(1), pp. 508-526.

    • Precautionary Savings, Illiquid Assets, and the Aggregate Consequences of Shocks to Household Income Risk Bayer C., Lütticke R., Pham-Dao L., Tjaden V.

      2019 | Econometrica, Vol. 87(1), pp. 255-290.

    • ICT and Resilience in Times of Crisis: Evidence from Cross-Country Micro Moments Data Bertschek I., Polder M., Schulte P.

      2019 | Economics of Innovation and New Technology, Vol. 28(8), pp. 759-774.

    • German wage moderation and European imbalances: Feeding the global VAR with theory Bettendorf T., León-Ledesma M.

      2019 | Journal of Money, Credit and Banking, Vol. 51(2-3), pp. 617-653.

    • Spillover effects of credit default risk in the Euro Area and the effects on the Euro: A GVAR approach Bettendorf T.

      2019 | International Journal of Finance and Economics, Vol. 24(1), pp. 296-312.

    • Does machine learning help us predict banking crises? Beutel J., List S., Schweinitz G.

      2019 | Journal of Financial Stability, Vol. 45, 100693.

    • Too Connected to Fail? Inferring Network Ties From Price Co-Movements Bosma J., Koetter M., Wedow M.

      2019 | Journal of Business and Economic Statistics, Vol. 37(1), pp. 67-80.

    • Drivers of systemic risk: Do national and European perspectives differ? Buch C., Krause M., Tonzer L.

      2019 | Journal of International Money and Finance, Vol. 91, pp. 160-176.

    • Macroprudential policy in a currency union Buch C., Weigert B.

      2019 | Review of World Economics/Weltwirtschaftliches Archiv, Vol. 155(1), pp. 23-33.

    • Implications of bank regulation for loan supply and bank stability: A dynamic perspective Bucher M., Dietrich D., Hauck A.

      2019 | The European Journal of Finance, Vol. 25(16), pp. 1527-1550.

    • State-Dependent Transmission of Monetary Policy in the Euro Area Burgard J.P., Neuenkirch M., Nöckel M.

      2019 | Journal of Money, Credit and Banking, Vol. 51(7), pp. 2053-2070.

    • Macroeconomic Effects of Increased Wage Flexibility in EMU Bursian D., Stähler N.

      2019 | Journal of Economic Policy Reform, Vol. 22(1), pp. 69-83.

    • Is the Top Tail of the Wealth Distribution the Missing Link Between the Household Finance and Consumption Survey and National Accounts Chakraborty R., Kavonius I., Pérez-Duarte S., Vermeulen P.

      2019 | Journal of Official Statistics, Vol. 35(1), pp. 31-65.

    • Envelope Wages, Hidden Production and Labor Productivity Di Nola A., Kocharkov G., Vasilev A.

      2019 | B.E. Journal of Macroeconomics, Vol. 19(2), pp. 1-30.

    • Labour Market Frictions, Monetary Policy and Durable Goods Di Pace F., Hertweck M. S.

      2019 | Review of Economic Dynamics, Vol. 32, pp. 274-304.

    • What are the real effects of financial market liquidity? Evidence on bank lending from the euro area Dombret A., Foos D., Pliszka K., Schulz A.

      2019 | Journal of International Financial Markets, Institutions & Money, Vol. 62, pp. 152-183.

    • Will German banks earn their cost of capital? Dombret A., Gündüz Y., Rocholl J.

      2019 | Contemporary Economic Policy (formerly: Contemporary Policy Issues), Vol. 37(1), pp. 156-169.

    • Employment, hours and the welfare effects of intra-firm bargaining Dossche M., Lewis V., Poilly C.

      2019 | Journal of Monetary Economics, Vol. 104, pp. 70-88.

    • Asymmetric Arbitrage Trading on Offshore and Onshore Renminbi Markets Eraslan S.

      2019 | Empirical Economics, Vol. 57(5), pp. 1653–1675.

    • Fear, deposit insurance schemes, and deposit reallocation in the German banking system Fecht F., Thum S., Weber P.

      2019 | Journal of Banking and Finance, Vol. 105, pp. 151-165.

    • Are specialist funds “special”? Fricke D.

      2019 | Financial Management, Vol. 48(2), pp. 441-472.

    • Thoughts on a Fiscal Union in EMU Gadatsch N., Hollmayr J., Stähler N.

      2019 | GERMAN Economic Review, Vol. 20(4), pp. 360-384.

    • Google Data in Bridge Equation Models for German GDP Götz T., Knetsch T.A.

      2019 | International Journal of Forecasting, Vol. 35(1), pp. 45-66.

    • A Novel Housing Price Misalignment Indicator for Germany Hertrich M.

      2019 | German Economic Review, Vol. 20(4), e759-e794.

    • International capital flows, external assets and output volatility Hoffmann M., Krause M., Tillmann P.

      2019 | Journal of International Economics, Vol. 117, pp. 242-255.

    • The expectations-driven US current account Hoffmann M., Krause M., Laubach T.

      2019 | Economic Journal, Vol. 129(618), pp. 897-924.

    • Learning about Banks' Net Worth and the Slow Recovery after the Financial Crisis Hollmayr J., Kühl M.

      2019 | Journal of Economic Dynamics and Control, Vol. 109, 103776.

    • Monetary-Fiscal Interaction and Quantitative Easing Hollmayr J., Kühl M.

      2019 | Economics Letters, Vol. 174, pp. 200-207.

    • The Rate of Return on Everything, 1870-2015 Jordà Ò., Knoll K., Kuvshinov D., Schularick M., Taylor A.

      2019 | Quarterly Journal of Economics, Vol. 134(3), pp. 1225-1298.

    • Does Homeownership Promote Wealth Accumulation? Kaas, L., Kocharkov G., Preugschat E.

      2019 | Applied Economics Letters, Vol. 26(14), pp. 1186-1191.

    • Wealth Inequality and Homeownership in Europe Kaas, L., Kocharkov G., Preugschat E.

      2019 | Annals of Economics and Statistics, Vol. 136, pp. 27-54.

    • Bayesian estimation of sparse dynamic factor models with order-independent and ex-post mode identification Kaufmann S., Schumacher C.

      2019 | Journal of Econometrics, Vol. 210(1), pp. 116-134.

    • The puzzling effects of monetary policy in VARs: Invalid identification or missing information? Kerßenfischer M.

      2019 | Journal of Applied Econometrics, Vol. 34(1), pp. 18-25.

    • Cross-border portfolio diversification under trade linkages Khalil M.

      2019 | Journal of Monetary Economics, Vol. 104, pp. 114-128.

    • Assessing the uncertainty in central banks’ inflation outlooks Knüppel M., Schultefrankenfeld G.

      2019 | International Journal of Forecasting, Vol. 35(4), pp. 1748-1769.

    • An analysis of non-traditional activities at German saving banks – Does the type of fee and commission income matter? Köhler M.

      2019 | Credit and Capital Markets (Kredit und Kapital), Vol. 52(2), pp. 253-289.

    • Forecast Evaluation Under Asymmetric Loss: A Monte Carlo Analysis of the EKT Method Krüger J., LeCrone J.

      2019 | Oxford Bulletin of Economics and Statistics (formerly: Bulletin of the Institute of Economics and Statistics (Oxford University)), Vol. 81(2), pp. 437-455.

    • When Private Information Settles the Bill: Money and Privacy in Google's Market for Smartphone Applications Kummer M., Schulte P.

      2019 | Management Science, Vol. 65(8), pp. 3470-3494.

    • A note on the predictive power of survey data in nowcasting euro area GDP Kurz-Kim J.-R.

      2019 | Journal of Forecasting, Vol. 38(6), pp. 498-503.

    • Trading behavior of stock investors: Black Monday revisited Kurz-Kim J.

      2019 | Journal of Asset Management, Vol. 20, pp. 251-262.

    • The Financial Market Effects of the ECB's Asset Purchase Programs Roth M., Lewis V.

      2019 | Journal of Financial Stability, Vol. 43, pp. 40-52.

    • International Monetary Policy Spillovers through the bank funding channel Lindner P., Loeffler A., Segalla E., Valitova G., Vogel U.

      2019 | Journal of International Money and Finance. Vol. 90, pp. 161-174.

    • The effects of fiscal stimulus: firm-level evidence from selective temporary consumption tax cuts Misch F., Seymen A.

      2019 | Oxford Economic Papers New Series, Vol. 71(4), pp. 1026-1049.

    • Comment on “Monetary Policy Communication, Policy Slope, and the Stock Market” by Andreas Neuhierl and Michael Weber Moench E., Stein T.

      2019 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy), Vol. 108, pp. 156-161.

    • Optimal Unemployment Insurance and International Risk Sharing Moyen S., Stähler N., Winkler F.

      2019 | European Economic Review, Vol. 115, pp. 144-171.

    • The effect of investing abroad on investment at home: On the role of technology, tax savings, and internal capital markets Nagengast A., Goldbach S., Wamser G., Steinmüller E.

      2019 | Journal of International Economics, Vol. 116, pp. 58-73.

    • An N-dimensional generalisation of the Amiti-Weinstein estimator Nagengast A.

      2019 | Applied Economics Letters, Vol. 26(8), pp. 669-676.

    • Patterns of Unemployment Dynamics in Germany Rahn D., Weber E.

      2019 | Macroeconomic Dynamics, Vol. 23(1), pp. 322-357.

    • Real and financial cycles in euro area economies: results from wavelet analysis Scharnagl M., Mandler M.

      2019 | Journal of Economics and Statistics, Vol. 239(5-6), pp. 895-916.

    • Cross-Impact and No-Dynamic-Arbitrage Schneider M., Lillo F.

      2019 | Quantitative Finance, Vol. 19(1), pp. 137-154.

    • Budget-Neutral Labour Tax Wedge Reductions: A Simulation-Based Analysis for the Euro Area Stähler N., Attinasi M., Prammer D., Tasso M., van Parys S.

      2019 | International Journal of Central Banking, Vol. 15(4), pp. 1-54.

    • Who Benefits From Using Property Taxes To Finance A Labor Tax Wedge Reduction? Stähler N.

      2019 | Journal of Housing Economics, Vol. 46

    • M-PRESS-CreditRisk: Microprudential and Macroprudential Capital Requirements for Credit Risk under Systemic Stress Tente N., von Westernhagen N., Slopek U.

      2019 | Journal of Money, Credit and Banking, Vol. 54(7), pp. 1923-1961.

    • Alarm index for institutional bank runs Wosnitza J.H.

      2019 | International Journal of Finance and Economics, Vol. 24(3), pp. 1254-1270.

  • 2018
    • A comprehensive view on risk reporting: Evidence from supervisory data Abbassi P., Schmidt M.

      2018 | Journal of Financial Intermediation, Vol. 36, pp. 74-85.

    • Structural Model for Fluctuations in Financial Markets Anand K., Khedair J., Kuehn R.

      2018 | Physical Review E, Vol. 97(5).

    • The Missing Links: A global study on uncovering financial network structure from partial data Anand K., van Lelyveld I., Banai A., Friedrich S., Garratt R., Halaj G., Fique J., Hansen I., Jaramillo S., Lee H., Molina-Borboa J., Nobili S., Rajan S., Salakhova S., Silva T., Silvestri L., de Souza S.

      2018 | Journal of Financial Stability, Vol. 35, pp. 107-119.

    • Gender role asymmetry and stock market participation – Evidence from four European household surveys Barasinska N., Schäfer D.

      2018 | European Journal of Finance, Vol. 24(12), pp. 1026-1046.

    • Management Practices, Workforce Selection and Productivity Bender S., Bloom N., Card D., Van Reenen J., Wolter S.

      2018 | Journal of Labor Economics, Vol. 36(S1), pp. S371-S409.

    • R&D collaborations and the role of proximity Blum U., Fuhrmeister C., Marek P., Titze M.

      2018 | Regional Studies, Vol. 51(12), pp. 1761-1773.

    • Do European banks with a covered bond program still issue asset-backed securities for funding? Boesel N., Kool C., Lugo S.

      2018 | Journal of International Money and Finance, Vol. 81, pp. 76-87.

    • Risk-Adjusted Option-Implied Moments Brinkmann F., Korn O.

      2018 | Review of Derivatives Research, Vol. 21(2), pp. 149-173.

    • Crises and Rescues: Liquidity Transmission through Global Banks Buch C., Koch C.T., Koetter M.

      2018 | International Journal of Central Banking, Vol. 14(4), pp. 187-228.

    • Functional Upgrading and Value Capture of Multinational Subsidiaries Burger A., Jindra B., Marek P., Rojec M.

      2018 | Journal of International Management, Vol. 24(2), pp. 108-122.

    • Trust in the Monetary Authority Bursian D., Faia E.

      2018 | Journal of Monetary Economics (incl. Issues on the Carnegie-Rochester Conference Series on Public Policy), Vol. 98, pp. 66-79.

    • Many a little makes a mickle: Macro portfolio stress test for small and medium-sized German banks Busch R., Koziol P., Mitrovic M.

      2018 | Quarterly Review of Economics and Finance (formerly: Quarterly Review of Economics and Business), Vol. 68, pp. 237-253.

    • Uncertainty through the lenses of a mixed-frequency Bayesian panel Markov switching model Casarin R., Foroni C., Marcellino M., Ravazzolo F.

      2018 | Annals of Applied Statistics, Vol. 12(4), pp. 2559-2586.

    • The Financial Stability Aspects of the EU-wide stress test Ebner A.

      2018 | Journal of Financial Regulation, Vol. 4(2), pp. 326-336.

    • China's role in global inflation dynamics Eickmeier S., Kühnlenz M.

      2018 | Macroeconomic Dynamics, Vol. 22(2), pp. 225-254.

    • International financial market integration, asset compositions, and the falling exchange rate pass-through Enders A., Enders Z., Hoffmann M.

      2018 | Journal of International Economics, Vol. 110, pp. 151-175.

    • Oil Price Shocks and Stock Return Volatility: New Evidence Based on Volatility Impulse Response Analysis Eraslan S., Menla Ali F.

      2018 | Economics Letters, Vol. 172, pp. 59-62.

    • Correlated shocks in estimated DSGE models Falter A., Wesselbaum D.

      2018 | Economics Bulletin, Vol. 38(4), pp. 2026-2036.

    • On the suitability of alternative competitiveness indicators for explaining real exports of advanced economies Fischer C., Hossfeld O., Radeck K.

      2018 | Open Economies Review, Vol. 29(1), pp. 119-139.

    • Assessing the predictive ability of sovereign default risk on exchange rates Foroni C., Ravazzolo F., Sadaba B.

      2018 | Journal of International Money and Finance, Vol. 81, pp. 242-264.

    • Labor Supply Factors and Economic Fluctuations Foroni C., Lepetit A., Furlanetto F.

      2018 | International Economic Review, Vol. 59(3), pp. 1491-1510.

    • Using low frequency information for predicting high frequency variables Foroni C., Guerin P., Marcellino M.

      2018 | International Journal of Forecasting, Vol. 34(4), pp. 774-787.

    • Withdrawal from foreign lending in the financial crisis by parent banks and their branches and subsidiaries: Supply versus demand effects Frey R., Kerl C., Lipponer A.

      2018 | Journal of Financial Services Research, Vol. 54(1), pp. 1-48.

    • Big fish in small banking ponds? Cost advantage and foreign affiliate presence Galema R., Koetter M.

      2018 | Journal of International Money and Finance, Vol. 81, pp. 138-158.

    • Information Contagion and Systemic Risk Georg C., Ahnert T.

      2018 | Journal of Financial Stability, Vol. 35, pp. 159-171.

    • Demographics and the current account Gerigk J., Rinawi M., Wicht A.

      2018 | Aussenwirtschaft, Vol. 69(1), pp. 45-75.

    • Forecasting through the Rear-View Mirror: Data Revisions and Bond Return Predictability Ghysels E., Horan C., Mönch E.

      2018 | Review of Financial Studies, Vol. 31(2), pp. 678-714.

    • The absence of evidence and the evidence of absence – an algorithmic approach for identifying operational outages in TARGET2 Glowka M., Paulick J., Schultze I.

      2018 | Journal of Financial Market Infrastructures, Vol. 6(2/3), pp. 63-91.

    • A macroeconomic reverse stress test Grundke P., Pliszka K.

      2018 | Review of Quantitative Finance and Accounting, Vol. 50(4), pp. 1093-1130.

    • Distance to Compliance Portfolios: An Integrated Shortfall Measure for Basel III Heidorn T., Schmaltz C., Torchiani I.

      2018 | Journal of Banking and Finance, Vol. 87, pp. 87-101.

    • Contrasting financial and business cycles: Stylized facts and candidate explanations Hiebert P., Jaccard I., Schüler Y.

      2018 | Journal of Financial Stability, Vol. 38, pp. 72-80.

    • Time-varying capital requirements and disclosure rules: Effects on capitalization and lending decisions Imbierowicz B., Kragh J., Rangvid J.

      2018 | Journal of Money, Credit and Banking, Vol. 50(4), pp. 573-602.

    • The Import Content of Expenditure Components and the Size of International Spillovers Jorra M., Esser A., Slopek U.

      2018 | National Institute Economic Review, Vol. 244(1), pp. R21-R29.

    • A benchmark for wage growth through the lens of the Beveridge curve Kajuth F.

      2018 | Applied Economics Letters, Vol. 25(7), pp. 487-492.

    • German Banks in Financial Centers: How Risky is Their Business? Kerl C.

      2018 | The Journal of Financial Perspectives, Vol. 5(1), pp. 1-17.

    • Forecast-error-based estimation of forecast uncertainty when the horizon is increased Knüppel M.

      2018 | International Journal of Forecasting, Vol. 34(1), pp. 105-116.

    • The payout behavior of German savings banks Köhler M.

      2018 | Credit and Capital Markets, Vol. 51(2), pp. 227-257.

    • Excess comovements between the Euro/US dollar and Pound Sterling/US dollar exchange rates Kühl M.

      2018 | Applied Economics, Vol. 50(34-35), pp. 3664-3685.

    • The Effects of Government Bond Purchases on Leverage Constraints of Banks and Non-Financial Firms Kühl M.

      2018 | International Journal of Central Banking, Vol. 14(4), pp. 93-161.

    • Interest Rate Rules under Financial Dominance Lewis V., Roth M.

      2018 | Journal of Economic Dynamics and Control, Vol. 95, pp. 70-88.

    • Pitfalls in the use of systemic risk measures Löffler G., Raupach P.

      2018 | Journal of Financial and Quantitative Analysis, Vol. 53(1), pp. 269-298.

    • Convertible bonds and bank risk-taking Martynova N., Perotti E.

      2018 | Journal of Financial Intermediation, Vol. 35(B), pp. 61-80.

    • International Trade and Retail Market Performance and Structure: Theory and Empirical Evidence Meinen P., Raff H.

      2018 | Journal of International Economics, Vol. 115, pp. 99-114.

    • To sign or not to sign? On the response of prices to financial and uncertainty shocks Meinen P., Röhe O.

      2018 | Economics Letters, Vol. 171, pp. 189-192.

    • Banks' Interest Rate Risk and Search for Yield: A Theoretical Rationale and Some Empirical Evidence Memmel C., Seymen A., Teichert M.

      2018 | GERMAN Economic Review, Vol. 19(3), pp. 330-350.

    • Why do banks bear interest rate risk? Memmel C.

      2018 | Schmalenbach Business Review, Vol. 70(3), pp. 231-253.

    • Loss given default adjusted workout processes for leases Miller P., Töws E.

      2018 | Journal of Banking and Finance, Vol. 91, pp. 189-201.

    • Identifying income and wealth-poor households in the euro area Müller P., Schmidt T.

      2018 | Journal of Poverty, Vol. 22(2), pp. 126-155.

    • The Risk-Taking Channel of Monetary Policy Transmission in the Euro Area Neuenkirch M., Nöckel M.

      2018 | Journal of Banking and Finance, Vol. 93, pp. 71-91.

    • Do exposures to sagging real estate, subprime or conduits abroad lead to contraction and flight to quality in bank lending at home? Ongena S., Tümer-Alkan G., von Westernhagen N.

      2018 | Review of Finance (formerly: European Finance Review), Vol. 22(4), pp. 1335-1373.

    • The determinants of CDS spreads: evidence from the model space Pelster M., Vilsmeier J.

      2018 | Review of Derivatives Research, Vol. 21(1), pp. 63-118.

    • Liquidity provision as a monetary policy tool: the ECBs non-standard measures after the financial crisis Quint D., Tristani O.

      2018 | Journal of International Money and Finance, Vol. 80, pp. 15-34.

    • Modelling illiquidity spillovers with Hawkes processes: an application to the sovereign bond market Schneider M., Lillo F., Pelizzon L.

      2018 | Quantitative Finance, Vol. 18(2), pp. 283-293.

    • Export pricing and the macroeconomic effects of US import tariffs Slopek U.

      2018 | National Institute Economic Review, Vol. 244(1), pp. R39-R45.

    • Banks’ Equity Stakes and Lending: Evidence from a Tax Reform von Beschwitz B., Foos D.

      2018 | Journal of Banking and Finance, Vol. 96, pp. 322-343.

    • Active labour market policies in Germany: do regional labour markets benefit? Wapler R., Werner D., Wolf K.

      2018 | Applied Economics, Vol. 50(51), pp. 5561-5578.

    • Valuation at Origination of Legal Prepayment Options Embedded in 15-Year German Mortgage Loans Wosnitza J.H.

      2018 | Credit and Capital Markets (Kredit und Kapital), Vol. 51(3), 465–489.

  • 2017
    • Credit risk interconnectedness: what does the market really know? Abbassi P., Brownlees C., Hans C., Podlich N.

      2017 | Journal of Financial Stability, Vol. 29(April), pp. 1-12.

    • Variations in market liquidity and the intraday interest rate Abbassi P., Fecht F., Tischer J. P.

      2017 | Journal of Money, Credit and Banking, Vol. 49(4), pp. 733-765.

    • Stock Price Booms and Expected Capital Gains Adam K., Beutel J., Marcet A.

      2017 | American Economic Review, Vol. 107(8), pp. 2352-2408.

    • Risk forecasting in (T)GARCH models with uncorrelated dependent innovations Beckers B., Herwartz H., Seidel M.

      2017 | Quantitative Finance, Vol. 17(1), pp. 121-137.

    • The Role for Long-Run Target Values of the Exchange Rate in the Bank of Japan's Policy Reaction Function Beckmann J., Kühl M.

      2017 | World Economy, Vol. 40(9), pp. 1836-1865.

    • Cyclicality of SME lending and government involvement in banks Behr P., Foos D., Norden L.

      2017 | Journal of Banking and Finance, Vol. 77, pp. 64-77.

    • An analysis of the consistency of banks’ internal ratings Berg T., Koziol P.

      2017 | Journal of Banking and Finance, Vol. 78, pp. 27-41.

    • Retailers and Consumers: The Pass-through of Import Price Changes Berner E., Birg L., Boddin D.

      2017 | The World Economy, Vol. 40(7), pp. 1314-1344.

    • You’re banned! The effect of sanctions on German cross-border financial flows Besedeš T., Goldbach S., Nitsch V.

      2017 | Economic Policy (formerly: Economic Policy: A European Forum), Vol. 32(90), pp. 263-318.

    • Idiosyncratic and international transmission of shocks in the G7: does EMU matter? Bettendorf T.

      2017 | Review of International Economics, Vol. 25(4), pp. 856-890.

    • Investigating Global Imbalances: Empirical Evidence from a GVAR Approach Bettendorf T.

      2017 | Economic Modelling, Vol. 64, pp. 201-210.

    • Chow-Lin X N: How adding a panel dimension can improve accuracy Bettendorf T., Bursian D.

      2017 | Economics Letters, Vol. 157, pp. 5-9

    • Has Greater Stock Market Participation Increased Wealth Inequality in the US? Bilias Y., Georgarakos D., Haliassos M.

      2017 | Review of Income and Wealth, Vol. 63(1), pp. 169-188.

    • R&D collaborations and the role of proximity Blum U., Fuhrmeister C., Marek P., Titze M.

      2017 | Regional Studies, Vol. 51(12), pp. 1761-1773.

    • Aging and Pension Reform: Extending the Retirement Age and Human Capital Formation Börsch-Supan A., Ludwig A., Vogel E.

      2017 | Journal of Pension Economics and Finance, Vol. 16(1), pp. 81-107.

    • Solving RE models with discontinuous policy rules – An application to minimum wage setting in Germany Bursian D.

      2017 | Applied Economics Letters, Vol. 24(15), pp. 1121-1126.

    • Banks' net interest margin and the level of interest rates Busch R., Memmel C.

      2017 | Credit and Capital Markets, Vol. 50(3), pp. 363-392.

    • Fiscal Policy and Inflation in a Monetary Union Cardoso-Costa J., Lewis V.

      2017 | Economica, Vol. 84(336), pp. 779-796.

    • Kryptowährung Bitcoin: Währungswettbewerb oder Spekulationsobjekt: Welche Konsequenzen sind für das aktuelle Geldsystem zu erwarten? Diehl M., Thiele C.

      2017 | ifo Schnelldienst, Vol. 70(22), pp. 3-20.

    • Insured Loss Inflation: How Natural Catastrophes Affect Reconstruction Costs Döhrmann D., Gürtler M., Hibbeln M.

      2017 | Journal of Risk and Insurance, Vol. 84(3), pp. 851-879.

    • On the exposure of insurance companies to sovereign risk: Portfolio investments and market forces Düll R., König F., Ohls J.

      2017 | Journal of Financial Stability, Vol. 31, pp. 93-106.

    • Second-round effects after oil price shocks: Evidence for the euro area and Germany Enders A., Enders Z.

      2017 | Economics Letters, Vol. 159, pp. 208-213.

    • Team Incentives and Performance: Evidence from a Retail Chain Friebel G., Heinz M., Krüger M., Zubanov N.

      2017 | American Economic Review, Vol. 107(8), pp. 2168-2203.

    • Credit Crunch Indicator: Perceptions of the Willingness of Banks to Lend and Firms' Experience in the Credit Market Hainz C., Hristov N.

      2017 | CESifo Forum, Vol. 18(2), pp. 66-69.

    • On the Credibility of the Euro/Swiss Franc Floor: A Financial Market Perspective Hertrich M., Zimmermann H.

      2017 | Journal of Money, Credit and Banking, Vol. 49(2-3), pp. 567-578.

    • Surplus liquidity, central bank losses and the use of reserve requirements in emerging markets Hoffmann A., Loeffler A.

      2017 | Review of International Economics, Vol. 25(5), pp. 990-998.

    • Unexpected Loan Losses and Bank Capital in an Estimated DSGE Model of the Euro Area Hristov N., Huelsewig O.

      2017 | Journal of Macroeconomics, Vol. 54(B), pp. 161-186.

    • The role of global financial conditions for credit supply in EMU periphery countries Jochem A., Reitz S.

      2017 | Applied Economics Letters, Vol. 24(10), pp. 727-731.

    • Identifying relevant and irrelevant variables in sparse factor models Kaufmann S., Schumacher C.

      2017 | Journal of Applied Econometrics, Vol. 32(6), pp. 1123-1144.

    • Do all new brooms sweep clean? Evidence for outside bank appointments Kick T., Nehring I., Schertler A.

      2017 | Journal of Banking and Finance, Vol. 84, pp. 135-151.

    • Penny Wise and Pound Foolish? On the Income from Germany's Foreign Investments Knetsch T.A., Nagengast A.

      2017 | Review of World Economics/Weltwirtschaftliches Archiv (formerly: Weltwirtschaftliches Archiv/Review of World Economics; Weltwirtschaftliches Archiv), Vol. 153(4), pp. 753-778.

    • Interest rate assumptions and predictive accuracy of central bank forecasts Knüppel M., Schultefrankenfeld G.

      2017 | Empirical Economics, Vol. 53(1), pp. 195-215.

    • Decoupling Nominal and Real Rigidities: A Re-examination of the Canonical Model of Price Setting under Menu Costs König P., Meyer-Gohde A.

      2017 | Economics Letters, Vol. 156, pp. 129-132.

    • Bank capital, the state contingency of banks' assets and its role for the transmission of shocks Kühl M.

      2017 | Journal of Macroeconomics, Vol. 54(B), pp. 260-284.

    • Optimal savings for retirement: The role of individual accounts Le Blanc J., Scholl A.

      2017 | Macroeconomic Dynamics, Vol. 21(6), pp. 1361-1388.

    • Government Spending, Entry and the Consumption Crowding-In Puzzle Lewis V., Winkler R.

      2017 | International Economic Review, Vol. 58(3), pp. 943-972.

    • Household search and the aggregate labor market Mankart J., Oikonomou R.

      2017 | Review of Economic Studies, Vol. 84(4), pp. 1735-1788.

    • On Measuring Aggregate Uncertainty and its Impact on Investment: Cross-country Evidence from the Euro Area Meinen P., Röhe O.

      2017 | European Economic Review, Vol. 92, pp. 161-179.

    • The synchronization of credit cycles Meller B., Metiu N.

      2017 | Journal of Banking and Finance, Vol. 82, pp. 98-111.

    • Estimating Risky Behavior with Multiple-Item Risk Measures: Experimental Evidence Menkhoff L., Sakha S.

      2017 | Journal of Economic Psychology, Vol. 59, pp. 56-86.

    • International Banking and Cross-Border Effects of Regulation: Lessons from Germany Ohls J., Pramor M., Tonzer L.

      2017 | International Journal of Central Banking, Vol. 13(S1), pp. 129-162.

    • Asymmetric effects on financial cycles in a monetary union with diverging country preferences for variable- and fixed-rate mortgages Richter M.

      2017 | Review of Economics and Finance, Vol. 7(1), pp. 19-36.

    • Reducing Government Debt in the Presence of Inequality Röhrs S., Winter C.

      2017 | Journal of Economic Dynamics and Control, Vol. 82, pp. 1-20.

    • Bank Rescues and Bailout Expectations: The Erosion of Market Discipline During the Financial Crisis Schmidt A., Hett F.

      2017 | Journal of Financial Economics, Vol. 126(3), pp. 635-651.

    • Zur Finanziellen Bildung der Privaten Haushalte in Deutschland: Ergebnisse der Studie “Private Haushalte und ihre Finanzen (PHF)“ Schmidt T., Tzamourani P.

      2017 | DIW Quarterly Journal of Economic Research. Vol. 86(4), pp. 31-49.

    • The influence of an up-front experiment on respondents' recording behaviour in payment diaries: Evidence from Germany Sieber S., Schmidt T.

      2017 | Journal of Official Statistics, Vol. 33(29), pp. 427-454.

    • What predicts financial (in)stability? A Bayesian approach Sigmund M., Stein I.

      2017 | Credit and Capital Markets, Vol. 50(3), pp. 299-336.

    • Asymmetric credit growth and current account imbalances in the euro area Unger R.

      2017 | Journal of International Money and Finance, Vol. 73(Part B), pp. 435-451.

    • The optimal trade-off between interest rate risk and annual return of bond ladders Wosnitza J.H.

      2017 | Financial Markets and Portfolio Management (formerly: Finanzmarkt und Portfolio Management), Vol. 31, 469–489.

  • 2016
    • Securities trading by banks and credit supply: Micro-evidence Abbassi P., Iyer R., Peydró J., Tous F.

      2016 | Journal of Financial Economics, Vol. 121(3), pp. 569-594.

    • The changing international transmission of financial shocks: evidence from a classical time-varying FAVAR Abbate A., Eickmeier S., Lemke W., Marcellino M.

      2016 | Journal of Money, Credit and Banking, Vol. 48, pp. 573-601.

    • Decomposing Real and Nominal Yield Curves Abrahams M., Adrian T., Crump R. K., Moench E., Yu R.

      2016 | Journal of Monetary Economics, Vol. 84, pp. 182-200.

    • Distributional consequences of asset price inflation in the euro area Adam K., Tzamourani P.

      2016 | European Economic Review, Vol. 89, pp. 172-192.

    • Household Heterogeneity in the Euro Area Since the Onset of the Great Recession Ampudia M., Pavlickova A., Slacalek J., Vogel E.

      2016 | Journal of Policy Modeling, Vol. 38(1), pp. 181-197.

    • Fundamental Disagreement Andrade P., Crump R. K., Eusepi S., Mönch E.

      2016 | Journal of Monetary Economics, Vol. 83, pp. 106-128.

    • Market Discipline Across Bank Governance Models - Empirical Evidence from German Depositors Arnold E.A., Größl I., Koziol P.

      2016 | Quarterly Review of Economics and Finance, Vol. 61, issue C, pp. 126-138.

    • How do households allocate their assets? Stylized facts from the Eurosystem Household Finance and Consumption survey Arrondel L., Bartiloro L., Fessler P., Lindner P., Mathä T., Rampazzi C., Savignac F., Schmidt T., Schürz M., Vermeulen P.

      2016 | International Journal of Central Banking, June, pp. 129-220.

    • Consumer cash usage: A cross-country comparison with payment diary survey data Bagnall J., Bounie D., Huynh K., Kosse A., Schmidt T., Schuh S., Stix H.

      2016 | International Journal of Central Banking, December, pp. 1-62.

    • The Effect of Unemployment Benefits and Nonemployment Durations on Wages Bender S., Schmieder J., von Wachter T.

      2016 | American Economic Review, Vol. 106(3), pp. 739-777.

    • Bank liquidity creation and risk taking during distress Berger A.N., Bouwman C.H.S., Kick T., Schaeck K.

      2016 | Journal of Financial Intermediation, Vol. 2(2010,05), pp. 1-51.

    • Bank risk taking and liquidity creation following regulatory interventions and capital support Berger A., Bouwman C., Kick T., Schaeck K.

      2016 | Journal of Financial Intermediation, Vol. 26, pp. 115-141.

    • The interest rate pass-through in the euro area during the sovereign debt crisis Borstel J., Eickmeier S., Krippner L.

      2016 | Journal of International Money and Finance, Vol. 68, pp. 386-402.

    • The distribution of debt across euro area countries: The role of individual characteristics, institutions and credit conditions Bover O., Casado J., Costa S., Du Caju P., McCarthy Y., Sierminska E., Tzamourani P., Villanueva E., Zavadil T.

      2016 | International Journal of Central Banking, Vol. 12(2), pp. 71-128.

    • Banks and sovereign risk: A granular view Buch C., Koetter M., Ohls J.

      2016 | Journal of Financial Stability, Vol. 25, pp. 1-15.

    • Taxing banks: An evaluation of the German bank levy Buch C., Hilberg B., Tonzer L.

      2016 | Journal of Banking and Finance, Vol. 72, pp. 52-66.

    • Loan Pricing: Do Borrowers Benefit from Cost-Efficient Banking? Busch R., Hartmann-Wendels T., Schlüter T., Sievers S.

      2016 | Credit and Capital Markets (Kredit und Kapital), Vol. 49(1), pp. 93-125.

    • Quantifying the components of the banks' net interest margin Busch R., Memmel C.

      2016 | Financial Markets and Portfolio Management (formerly: Finanzmarkt und Portfolio Management), Vol. 30(4), pp. 371-396.

    • The macroeconomic effects of monetary policy: A new measure for the United Kingdom Cloyne J., Hürtgen P.

      2016 | American Economic Journal:Macroeconomics, Vol. 8(4), pp. 75-102.

    • Productive capabilities: An empirical analysis of their drivers Daude C., Nagengast A., Perea J.

      2016 | Journal of International Trade and Economic Development, Vol. 25(4), pp. 504-535.

    • On the effectiveness of exchange rate interventions in emerging markets Daude C., Levy Yeyati E., Nagengast A.

      2016 | Journal of International Money and Finance, Vol. 64, pp. 239-261.

    • What determines simultaneous asset bubbles? An empirical analysis Drescher C., Herz B.

      2016 | Applied Economics, Vol. 48(1), pp. 35-51.

    • Out of sight, out of mind? On the risk of sub-custodian structures Droll T., Podlich N., Wedow M.

      2016 | Journal of Banking and Finance, Vol. 68, pp. 47-56.

    • The changing international transmission of financial shocks: evidence from a classical time-varying FAVAR Eickmeier S., Lemke W., Marcellino M., Abbate A.

      2016 | Journal of Money, Credit and Banking, Vol. 48(4), pp. 573-601.

    • Time variation in macro-financial linkages Eickmeier S., Marcellino M., Prieto Fernandez E.

      2016 | Journal of Applied Econometrics, Vol. 31(7), pp. 1215-1233.

    • Revisiting the relative forecast performances of Fed staff and private forecasters: A dynamic approach El-Shagi M., Giesen S., Jung A.

      2016 | International Journal of Forecasting, Vol. 32(2), pp. 313-323.

    • Mobilization of collateral in Germany as a reflection of monetary policy and financial market developments Fichtner J., Müller A., Paulick J., Wittenmayer H.

      2016 | Journal of Financial Market Infrastructures, Vol. 5(1), pp. 49-63.

    • The credit quality channel: Modeling contagion in the interbank market Fink K., Krüger U., Meller B., Wong L.

      2016 | Journal of Financial Stability, Vol. 25, pp. 83-97.

    • Determining global currency bloc equilibria: An empirical strategy based on estimates of anchor currency choice Fischer C.

      2016 | Journal of International Money and Finance, Vol. 64, pp. 214-238.

    • Credit Provision and Bank Stability after the GFC: The Role of Bank Regulation and the Quality of Governance Fratzscher M., König P., Lambert C.

      2016 | Journal of International Money and Finance, Vol. 66, pp. 113-135.

    • Forecasting with bayesian vector autoregressions estimated using professional forecasts Frey C., Mokinski F.

      2016 | Journal of Applied Econometrics, Vol. 31(6), pp. 1083-1099.

    • Multinational banks' deleveraging in the crisis preceded by expansion and profit seeking Frey R.

      2016 | Journal of Multinational Financial Management, Vol. 37-38, pp. 90-113.

    • Has the banking system become more homogeneous? Evidence from banks’ loan portfolios Fricke D.

      2016 | Economics Letters, Vol. 142, pp. 45-48.

    • Fiscal policy during the crisis: A look on Germany and the Euro area with GEAR Gadatsch N., Hauzenberger K., Stähler N.

      2016 | Economic Modelling, Vol. 52, pp. 997-1016.

    • German Labor Market and Fiscal Reforms 1999 to 2008: Can They Be Blamed for Intra-Euro Area Imbalances? Gadatsch N., Stähler N., Weigert B.

      2016 | Journal of Macroeconomics, Vol. 50(December), pp. 307-324.

    • Lend global, fund local? Price and funding cost margins in multinational banking Galema R., Koetter M., Liesegang C.

      2016 | Review of Finance (formerly: European Finance Review), Vol. 20(5), pp. 1981-2014.

    • Robust monetary policy in a new Keynesian model with imperfect interest rate pass-through Gerke R., Hammermann F.

      2016 | Macroeconomic Dynamics, Vol. 20(6), pp. 1504-1526.

    • Effects of Incorrect Specification on the Finite Sample Properties of Full and Limited Information Estimators in DSGE Models Giesen S. , Scheufele R.

      2016 | Journal of Macroeconomics, Vol. 48, pp. 1-18.

    • Impulse response analysis in a misspecified DSGE model: A comparison of full and limited information techniques Giesen S., Scheufele R.

      2016 | Applied Economics Letters, Vol. 23(3), pp. 162-166.

    • Combining forecasts from successive data vintages: an application to U.S. growth Götz T., Hecq A., Urbain J.

      2016 | International Journal of Forecasting, Vol. 32(1), pp. 61-74.

    • Testing for Granger causality in large mixed-frequency VARs Götz T., Hecq A., Smeekes S.

      2016 | Journal of Econometrics, Vol. 193(2), pp. 418-432.

    • Credit constraints and the international propagation of US financial shocks Grill M., Hilberg B., Metiu N.

      2016 | Journal of Banking and Finance, Vol. 72, pp. 67-80.

    • The Distribution of Exchange Rates under a Minimum Exchange Rate Regime Hertrich M.

      2016 | Journal of Applied Economics, Vol. 19(2), pp. 351-361.

    • Inflation expectations, disagreement and monetary policy Hoffmann M., Hürtgen P.

      2016 | Economics Letters, Vol. 146, pp. 59-63.

    • Imperfect Information about Financial Frictions and Consequences for the Business Cycle Hollmayr J., Kühl M.

      2016 | Review of Economic Dynamics, Vol. 22, pp. 179-207.

    • Do speculative traders anticipate or follow USD/EUR exchange rate movements? New evidence on the efficiency of the EUR currency futures market Hossfeld O., Röthig A.

      2016 | Finance Research Letters, Vol. 18(C), pp. 218-225.

    • Banks' Specialization versus Diversification in the Loan Portfolio New Evidence from Germany Jahn N., Memmel C., Pfingsten A.

      2016 | Schmalenbach Business Review, Vol. 17(1), pp. 25-48.

    • Assessing house prices in Germany: Evidence from an estimated stock-flow model using regional data Kajuth F., Knetsch T.A., Pinkwart N.

      2016 | Journal of European Real Estate Research, Vol. 9(3), pp. 286-307.

    • A one-off wealth levy? Assessing the pros, the cons and the importance of credibility Kempkes G., Stähler N.

      2016 | Fiscal Studies, Vol. 37(3-4), pp. 821-849.

    • Bank Recapitalization, Regulatory Intervention and Repayment Kick T., Koetter M., Poghosyan T.

      2016 | Journal for Money, Credit and Banking, Vol. 48(7), pp. 1467-1494.

    • Bayesian estimation of a dynamic stochastic general equilibrium model with asset prices Kliem M., Uhlig H.

      2016 | Quantitative Economics, Vol. 7(1), pp. 257-287.

    • Monetary-fiscal policy interaction and fiscal inflation: A tale of three countries Kliem M., Kriwoluzky A., Sarferaz S.

      2016 | European Economic Review, Vol. 88, pp. 158-184.

    • On the low-frequency relationship between public deficits and inflation Kliem M., Kriwoluzky A., Sarferaz S.

      2016 | Journal of Applied Econometrics, Vol. 31(3), pp. 566-583.

    • Too Much of a Good Thing? Short-term Debt as a Sorting Device König P., Pothier D.

      2016 | Journal of Financial Intermediation, Vol. 26, pp. 100-114.

    • Revisiting the Matching Function Kohlbrecher B., Merkl C., Nordmeier D.

      2016 | Journal of Economic Dynamics and Control, Vol. 69, pp. 350-374.

    • Public debt and changing inflation targets Krause M., Moyen S.

      2016 | American Economic Journal: Macroeconomics, Vol. 8(4), pp. 142-176.

    • Structural and cyclical effects of tax progression Kremer J., Stähler N.

      2016 | FinanzArchiv, Vol. 72(1), pp. 41-73.

    • Household saving behavior and credit constraints in the Euro area Le Blanc J., Porpiglia A., Teppa F., Zhu J., Ziegelmeyer M.

      2016 | International Journal of Central Banking, Vol. 44, pp. 15-69.

    • Limits of Monetary Policy Autonomy of East Asian Central Banks Loeffler A., Schobert F., Schnabl G.

      2016 | Applied Economics Quarterly, Vol. 62(3), pp. 187-204.

    • What predicts US recessions? Liu W., Mönch E.

      2016 | International Journal of Forecasting, Vol. 32(4), pp. 1138-1150.

    • The rise of the added worker effect Mankart J., Oikonomou R.

      2016 | Economics Letters, Vol. 143, pp. 48-51.

    • Markup responses to Chinese imports Meinen P.

      2016 | Economics Letters, Vol. 141, pp. 122-124.

    • How does the stock market respond to changes in bank lending standards? Metiu N.

      2016 | Economics Letters, Vol. 144, pp. 92-97.

    • Using time-stamped survey responses to measure expectations at a daily frequency Mokinski F.

      2016 | International Journal of Forecasting, Vol. 32(2), pp. 271-282.

    • Accounting for the differences between gross and value added trade balances Nagengast A., Stehrer R.

      2016 | World Economy, Vol. 39(9), pp. 1276-1306.

    • The great collapse in value added trade Nagengast A., Stehrer R.

      2016 | Review of International Economics, Vol. 24(2), pp. 392-421.

    • Trade and labor market dynamics: What do we learn from the data? Nordmeier D., Schmerer H., Weber E.

      2016 | Economics Letters, Vol. 145, pp. 206-209.

    • The imperfect-common-knowledge Phillips curve: Calvo vs Rotemberg Sauer R.

      2016 | Economics Letters, Vol. 148, pp. 45-47.

    • A comparison of MIDAS and bridge equations Schumacher C.

      2016 | International Journal of Forecasting, Vol. 32(2), pp. 257-270.

    • Updating the option implied probability of default methodology Vilsmeier J.

      2016 | Journal of Computational Finance, Vol. 19(3), pp. 1-27.

    • Forward looking behavior in ECB liquidity auctions: evidence from the pre-crisis period Vogel E.

      2016 | Journal of International Money and Finance, Vol. 61, pp. 120-142.

    • Price Level Changes and the Redistribution of Nominal Wealth Across the Euro Area Zhu J., Adam K.

      2016 | Journal of the European Economic Association, Vol. 14(4), pp. 871-906.

  • 2015
    • Decomposing Real and Nominal Yield Curves Abrahams M., Adrian T., Crump R. K., Moench E.

      2015 | Federal Reserve Bank of New York Staff Reports. No. 570.

    • Regression-Based Estimation of Dynamic Asset Pricing Models Adrian T., Crump R. K., Moench E.

      2015 | Journal of Financial Economics, Vol. 118 (2), pp. 211-244.

    • Centrality-based capital allocations Alter A., Craig B., Raupach P.

      2015 | International Journal of Central Banking, Vol. 11(3), pp. 329-377.

    • Home-field advantage or a matter of ambiguity aversion? Local bias among German individual investors Baltzer M., Stolper O., Walter A.

      2015 | European Journal of Finance, Vol. 21(9), pp. 734-754.

    • Foreign exchange market interventions and the $–¥ exchange rate in the long run Beckmann J., Belke A., Kühl M.

      2015 | Applied Economics, Vol. 47(38), pp. 4037-4055.

    • Deutsche Bundesbank’s Statistics on International Trade in Services: the Dataset and its Potential Biewen E., Schultz S.

      2015 | Schmollers Jahrbuch, Vol. 134(4), pp. 477-486.

    • Financial System Leverage and the Shortage of Safe Assets: Exploring the Policy Options Bleich D., Dombret A.

      2015 | German Economic Review, Vol. 16(2), pp. 161-180.

    • Diversification and determinants of international credit portfolios: evidence from German banks Böninghausen B., Köhler M.

      2015 | International Review of Economics and Finance, Vol. 39, pp. 57-75.

    • Earnings baths by CEOs during turnovers: Empirical evidence from German savings banks Bornemann S., Kick T., Pfingsten A., Schertler A.

      2015 | Journal of Banking and Finance, Vol. 53, pp. 188-201.

    • The evolution of economic convergence in the European Union Borsi M.T., Metiu N.

      2015 | Empirical Economics, Vol. 48(2), pp. 657-681.

    • International financial shocks in emerging markets Brei M., Buzaushina A.

      2015 | Journal of International Money and Finance, Vol. 58, pp. 51-74.

    • Analyzing international business and financial cycles using multi-level factor models: A comparison of alternative approaches Breitung J., Eickmeier S.

      2015 | Advances in Econometrics, Vol. 35, pp. 177-214.

    • Analyzing business cycle asymmetries in a multi-level factor model Breitung J., Eickmeier S.

      2015 | Economics Letters, Vol. 127, pp. 31-34.

    • Trust Me! I am a European Central Banker Bursian D., Fürth S.

      2015 | Journal of Money, Credit and Banking, Vol. 47(8), pp. 1503-1530.

    • Trust in government and fiscal adjustments Bursian D., Weichenrieder A., Zimmer J.

      2015 | International Tax and Public Finance, Vol. 22, pp. 663-682.

    • Income Structure and Bank Business Models: Evidence on Performance and Stability from the German Banking Industry Busch R., Kick T.

      2015 | Schmalenbach Business Review, Vol. 67, pp. 226-253.

    • Export Spillovers: Opening the Black Box Choquette E., Meinen P.

      2015 | The World Economy, Vol. 38(12), pp. 1912-1946.

    • Market Transparency and the Marking Precision of Bond Mutual Fund Managers Cici G., Gibson S., Gündüz Y., Merrick Jr. J.J

      2015 | Journal of Portfolio Management, Vol. 41(2), pp. 126-137.

    • Capital Regulation in a Macroeconomic Model with Three Layers of Default Clerc L., Derviz A., Mendicino C., Moyen S., Nikolov K., Stracca L., Suarez J., Vardoulakis A.

      2015 | International Journal of Central Banking, Vol. 11(3), pp. 9-64.

    • The role of interbank relationships and liquidity needs Craig B., Fecht F., Tümer-Alkan G.

      2015 | Journal of Banking and Finance, Vol. 53, pp. 99-111.

    • Classical time-varying FAVAR models – Estimation, forecasting and structural analysis Eickmeier S., Lemke W., Marcellino M.

      2015 | Journal of the Royal Statistical Society - Series A, Vol. 178(3), pp. 493-533.

    • How do US credit supply shocks propagate internationally? A GVAR approach Eickmeier S., Nq T.

      2015 | European Economic Review, Vol. 74, pp. 128-145.

    • Determinants of bank interest margins: Impact of maturity transformation Entrop O., Memmel C., Ruprecht B., Wilkens M.

      2015 | Journal of Banking and Finance, Vol. 54, pp. 1-19.

    • The transmission of US systemic financial stress: Evidence for emerging market economies Fink, F., Schüler Y.

      2015 | Journal of International Money and Finance, Vol. 55, pp. 6-26.

    • U-MIDAS: MIDAS regressions with unrestricted lag polynomials Foroni C., Marcellino M., Schumacher C.

      2015 | Journal of the Royal Statistical Society Series A, Vol. 178(1), pp. 57-82.

    • Multinational banks in the crisis: Foreign affiliate lending as a mirror of funding pressure and competition on the internal capital market Frey R., Kerl C.

      2015 | Journal of Banking & Finance, Vol. 50, pp. 52-68.

    • Financial conditions, macroeconomic factors and disaggregated bond excess returns Fricke C., Menkhoff L.

      2015 | Journal of Banking and Finance, Vol. 58, pp. 80-94.

    • On the Distribution of Links in the Interbank Network: Evidence from the e-MID Overnight Money Market Fricke D., Lux T.

      2015 | Empirical Economics, Vol. 49(4), pp. 1463-1495.

    • The Liquidity Premium in CDS Transaction Prices: Do Frictions Matter? Gehde-Trapp M., Gündüz Y., Nasev J.

      2015 | Journal of Banking and Finance, Vol. 61, pp. 184-205.

    • Real financial market exchange rates and capital flows Gelman M., Jochem A., Reitz S.

      2015 | Journal of International Money and Finance, Vol. 54, pp. 50-69.

    • Contagious herding and endogenous network formation in financial networks Georg C.

      2015 | Journal of Banking and Finance, Vol. 23(2014), pp. 1-32.

    • Trend Inflation in Advanced Economies Garnier C., Mertens E., Nelson E.

      2015 | International Journal of Central Banking, Vol. 11(4), pp. 65-136.

    • The Home Bias in Equities and Distribution Costs Harms P., Hoffmann M., Ortseifer C.

      2015 | Scandinavian Journal of Economics, Vol. 117(3), pp. 983-1018.

    • A Cautionary Note on the Put-Call Parity under an Asset Pricing Model with a Lower Reflecting Barrier Hertrich M.

      2015 | Swiss Journal of Economics and Statistics, Vol. 151(3), pp. 227-260.

    • Does Credit Risk Impact Liquidity Risk? Evidence from Credit Default Swap Markets Hertrich M.

      2015 | International Journal of Applied Economics, Vol. 12(2), pp. 1-46.

    • The Ins and Outs of German Unemployment: A Transatlantic Perspective Hertweck M. S., Sigrist O.

      2015 | Oxford Economic Papers, Vol. 67(4), pp. 1078-1095.

    • Learning about fiscal policy and the effects of policy uncertainty Hollmayr J., Matthes C.

      2015 | Journal of Economic Dynamics and Control, Vol. 59, pp. 142-162.

    • Carry funding and safe haven currencies: a threshold regression approach Hossfeld O., MacDonald R.

      2015 | Journal of International Money and Finance, Vol. 59, pp. 185-202.

    • Patience and long-run growth Hübner M., Vannoorenberghe G.

      2015 | Economics Letters, Vol.137, pp. 163-167.

    • Sturm und Drang in money market funds: When money market funds cease to be narrow Jank S., Wedow M.

      2015 | Journal of Financial Stability, Vol. 16, pp. 59-70.

    • Changes in the composition of publicly traded firms: Implications for the dividend-price ratio and return predictability Jank S.

      2015 | Management Science, Vol. 61(6), pp. 1362-1377.

    • Does country context distance determine subsidiary decision-making autonomy? – Theory and evidence from European transition economies de Jong G., Jindra B., Marek P., van Dut V.

      2015 | International Business Review, Vol. 24(5), pp. 874-889.

    • What Determines the Composition of International Bank Flows? Kerl C., Niepmann F.

      2015 | IMF Economic Review, Vol. 63 (4), pp. 792-829.

    • International Banking and Liquidity Transmission: Lessons from Germany, German contribution to the International Banking Research Network’s project “International Banking and Liquidity Risk Transmission” Kerl C., Koch C.

      2015 | IMF Economic Review, Vol. 63 (3), pp. 496-514.

    • Bank Risk and Competition: Evidence from Regional Banking Markets Kick T., Prieto E.

      2015 | Review of Finance, Vol. 19(3), pp. 1185-1222.

    • Evaluating the Calibration of Multi-Step-Ahead Density Forecasts Using Raw Moments Knüppel M.

      2015 | Journal of Business & Economic Statistics, Vol. 33(2), pp. 270-281.

    • Which Banks are More Risky? The impact of business models on bank stability Köhler M.

      2015 | Journal of Financial Stability, Vol. 16, pp. 195-212.

    • Liquidity Requirements: A Double-Edged Sword König P.

      2015 | International Journal of Central Banking, Vol. 11(4), pp. 129-168.

    • Do correlated defaults matter for CDS premia? An empirical analysis Koziol C., Koziol P., Schön T.

      2015 | Review of Derivatives Research, Vol 18(3), pp. 191-224.

    • Why does bank credit not drive money in Germany (any more)? Kuzin V., Schobert F.

      2015 | Economic Modelling, Vol. 48, pp. 41-51.

    • Entry and Markup Dynamics in an Estimated Business Cycle Model Lewis V., Stevens A.

      2015 | European Economic Review, Vol. 74, pp. 14-35.

    • Product Diversity, Demand Structures and Optimal Taxation Lewis V., Winkler R.

      2015 | Economic Inquiry, Vol. 53(2), pp. 979-1003.

    • Fiscal Policy and Business Formation in Open Economies Lewis V., Winkler R.

      2015 | Research in Economics, Vol. 69(4), pp. 603-620.

    • Reserve Requirements and Real Exchange Rate Misalignments in Emerging Market Economies Loeffler A.

      2015 | Review of Development Economics, Vol. 19(3), 516–530.

    • The Pre-FOMC Announcement Drift Lucca D., Moench E.

      2015 | Journal of Finance, Vol. 70(1), pp. 329-371.

    • Personal Bankruptcy Law, Debt Portfolios, and Entrepreneurship Mankart J., Rodano G.

      2015 | Journal of Monetary Economics, Vol. 76, pp. 157-172.

    • Sunk Costs of Exporting and the Role of Experience in International Trade Meinen P.

      2015 | Canadian Journal of Economics, Vol. 48(1), pp.335-367.

    • The Common drivers of Default Risk Memmel C., Gündüz Y., Raupach P.

      2015 | Journal of Financial Stability, Vol. 16, pp. 232-247.

    • Measuring Disagreement in Qualitative Expectations Mokinski F., Sheng X., Yang J.

      2015 | Journal of Forecasting, Vol. 34(5), pp. 405-426.

    • Inflation, deflation, and uncertainty: What drives euro area option-implied inflation expectations and are they still anchored in the sovereign debt crisis? Scharnagl M., Stapf J.

      2015 | Economic Modelling, Vol. 48, pp. 248-269.

    • General Dual Measures of Riskiness Schulze K.

      2015 | Theory and Decision, Vol. 78(2), pp. 289-304

    • The price impact of lending relationships Stein I.

      2015 | German Economic Review, Vol. 16(3), pp. 367-389.

    • Macroprudential Policies and Housing Prices: A New Database and Empirical Evidence for Central, Eastern, and Southeastern Europe Vandenbussche J., Vogel U., Detragiache E.

      2015 | Journal of Money, Credit and Banking, Vol. 47(S1), pp. 343-377.

  • 2014
    • Executive board composition and bank risk taking Berger A., Kick T., Schaeck K.

      2014 | Journal of Corporate Finance, Vol. 28, pp. 48-65.

    • Visible Reserves in Banks – Determinants of Initial Creation, Usage, and Contribution to Bank Stability Bornemann S., Homölle S., Hubensack C., Kick T., Pfingsten A.

      2014 | Journal of Business Finance and Accounting, Vol. 41(5) & (6), pp. 507-544.

    • In search for yield? Survey-based evidence on bank risk taking Buch C. M., Eickmeier S., Prieto E.

      2014 | Journal of Economic Dynamics and Control, Vol. 43, pp. 12-30.

    • Macroeconomic factors and micro-level bank behavior Buch C. M., Eickmeier S., Prieto E.

      2014 | Journal of Money, Credit and Banking, Vol. 46(4), pp. 715-751.

    • Financial Constraints and Foreign Direct Investment: Firm-Level Evidence Buch C.M., Kesternich I., Lipponer A., Schnitzer M.

      2014 | Review of World Economics, Vol. 150 (2), pp. 393-420.

    • Do Better Capitalized Banks Lend Less? Long-Run Panel Evidence from Germany Buch C. M., Prieto E.

      2014 | International Finance, Vol. 17(1), pp. 1-23.

    • Optimal policy and Taylor rule cross-checking under parameter uncertainty, B.E. Bursian D., Roth M.

      2014 | Journal of Macroeconomics, Vol. 14(1), pp. 301-324.

    • Interbank tiering and money center banks Craig B., Peter G.v.

      2014 | Journal of Financial Intermediation, Vol. 23(3), pp. 322-347.

    • The Duration of Bank Retail Interest Rates Craig B., Dinger V.

      2014 | International Journal of the Economics of Business, Vol. 21(2), pp. 191-207.

    • Fundamental Disagreement Crump R. K., Eusepi S., Moench E.

      2014 | Federal Reserve Bank of New York Staff Reports. No. 655.

    • Analysis of the use and impacts of limits Diehl M., Müller A.

      2014 | Journal of Financial Market Infrastructures, Vol. 3(1), pp. 33-60.

    • Trennbankensystem – ein Weg zu mehr Finanzstabilität in Deutschland? Dombret A., Liebig T., Stein I.

      2014 | Perspektiven der Wirtschaftspolitik, Vol. 15(1), pp. 41-55.

    • Perceived Inflation under Loss Aversion Dräger L., Fritsche U., Menz J.-O.

      2014 | Applied Economics, Vol 46(3), pp. 282-293.

    • Stress testing German banks against a global credit crunch Düllmann K., Kick T.

      2014 | Financial Markets and Portfolio Management, Vol. 28, pp. 337-361.

    • Are SME Loans Less Risky than Regulatory Capital Requirements Suggest? Düllmann K., Koziol P.

      2014 | Journal of Fixed Income, Vol. 23(4), pp. 89-103.

    • Understanding global liquidity Eickmeier S., Gambacorta L., Hofmann B.

      2014 | European Economic Review, Vol. 68, pp. 1-18.

    • A consistent set of multilateral productivity approach-based indicators of price competitiveness – results for Pacific Rim economies Fischer C., Hossfeld O.

      2014 | Journal of International Money and Finance, Vol. 49(A), pp. 152-169.

    • Multinational banks in the crisis: Foreign affiliate lending as a mirror of funding pressure and competition on the internal capital market Frey R., Kerl C.

      2014 | Journal of Banking and Finance, Vol. 50, pp. 52-68.

    • Extra Credit: Bank Finance and Firm Export Status in Germany Goldbach S., Nitsch V.

      2014 | The World Economy, Vol. 37(7), pp. 883-891.

    • Impacts of the Financial Crisis on Eurozone Sovereign CDS Spreads Gündüz Y., Kaya O.

      2014 | Journal of International Money and Finance, Vol. 49, pp. 425-442.

    • Does Modeling Framework Matter? A Comparative Study of Structural and Reduced-Form Models Gündüz Y., Uhrig-Homburg M.

      2014 | Review of Derivatives Research, Vol. 17, pp. 39-78.

    • Elasticity of Substitution and Anti-Dumping Decisions Hansen J. D., Meinen P., Nielsen J. U. M.

      2014 | Review of World Economics, Vol. 150(4), pp. 787-816.

    • Low Interest Rate Policy and the Use of Reserve Requirements in Emerging Markets Hoffmann A., Loeffler A.

      2014 | Quarterly Review of Economics and Finance, Vol. 54(3), pp. 307-314.

    • The Interest Rate Pass–Through in the Euro Area During the Global Financial Crisis Hristov N., Huelsewig O., Wollmershaeuser T.

      2014 | Journal of Banking and Finance, Vol. 48, pp. 104-119.

    • Financial Frictions and Inflation Differentials in a Monetary Union Hristov N., Huelsewig O., Wollmershaeuser T.

      2014 | The Manchester School, Vol. 82(5), pp. 549-595.

    • Sovereign default risk and state-dependent twin deficits Hürtgen P., Rühmkorf R.

      2014 | Journal of International Money and Finance, Vol. 48, pp. 357-382.

    • A single composite financial stress indicator and ist real impact in the euro area Islami M., Kurz-Kim J.-R.

      2014 | International Journal of Finance and Economics, Vol. 19(3), pp. 204-211.

    • Early Warning Indicators for the German Banking System: A Macroprudential Analysis Jahn N., Kick T.

      2014 | Credit and Capital Markets, Vol. 47(1), pp. 5-47.

    • NAIRU estimates for Germany: New evidence on the inflation-unemployment trade-off Kajuth F.

      2014 | GERMAN Economic Review, Vol. 17(1), pp. 104-125.

    • Choosing and using payment instruments: evidence from German microdata von Kalckreuth U., Schmidt T., Stix H.

      2014 | Empirical Economics, Vol. 46(3), pp. 1019-1055.

    • Using Cash to Monitor Liquidity – Implications for Payments, Currency Demand and Withdrawal Behavior von Kalckreuth U., Schmidt T., Stix H.

      2014 | Journal of Money, Credit and Banking, Vol. 46(8), pp. 1753-1786.

    • Cyclical adjustment in fiscal rules: some evidence on real-time bias for EU-15 countries Kempkes G.

      2014 | FinanzArchiv, Vol. 70(2), pp. 278-315.

    • Toward a Taylor rule for fiscal policy Kliem M., Kriwoluzky A.

      2014 | Review of Economic Dynamics, Vol. 17(2), pp. 294-302.

    • Das Erwerbspersonenpotenzial zu Vollzeitäquivalenten: Messkonzept, Projektion und Anwendungsbeispiele Knetsch T.A., Sonderhof K., Kempe W.

      2014 | Schmollers Jahrbuch, Vol. 134(1), pp. 1-24.

    • Efficient Estimation of Forecast Uncertainty Based on Recent Forecast Errors Knüppel M.

      2014 | International Journal of Forecasting, Vol. 30(2), pp. 257-267.

    • Can Capacity Constraints Explain Asymmetries of the Business Cycle? Knüppel M.

      2014 | Macroeconomic Dynamics, Vol. 18(1), pp. 65-92.

    • Business Models in Banking – How did they evolve and how do they need to be changed in the post-crisis period? Köhler M.

      2014 | Journal of Financial Perspectives, Vol. 2(I), pp. 161-176.

    • Does Non-Interest Income Make Banks More risky? Retail- vs. Investment-Oriented Banks Köhler M.

      2014 | Review of Financial Economics, Vol. 23, pp. 182-193.

    • Guarantees, Transparency and the Interdependency Between Sovereign and Bank Default Risk König P., Anand K., Heinemann F.

      2014 | Journal of Banking and Finance, Vol. 45, pp. 321-337.

    • Inflation and Interest Rate Derivatives for FX Risk Management: Implications for Exporting Firms under Real Wealth Koziol P.

      2014 | Quarterly Review of Economics and Finance, Vol. 54(4), pp. 459-472.

    • On the properties of the coefficient of determination in regression models with infinite-variance variables Kurz-Kim J.-R., Loretan M.

      2014 | Journal of Econometrics, Vol. 181, pp. 15-24.

    • Unemployment and Portfolio choice: Does persistence matters? Kuzin V., Bremus F. M.

      2014 | Journal of Macroeconomics, Vol. 40, pp. 99-113.

    • Low Interest Rate Policy and the Use of Reserve Requirements in Emerging Markets Löffler A., Hoffmann A.

      2014 | Quarterly Review of Economics and Finance, Vol. 54(3), pp. 307-314.

    • The (Un-) importance of Chapter 7 wealth exemption levels Mankart J.

      2014 | Journal of Economic Dynamics and Control, Vol. 38, pp. 1-16.

    • Banks' interest rate risk: The net interest income perspective and the market value perspective Memmel C.

      2014 | Quantitative Finance, Vol. 14(6), pp. 1059-1068.

    • Unemployment Insurance and the Business Cycle: Should Entitlement Duration React to the Cycle? Moyen S., Stähler N.

      2014 | Macroeconomic Dynamics, Vol. 18(3), pp. 497-525.

    • Worker flows in Germany: Inspecting the time aggregation bias Nordmeier D.

      2014 | Labour Economics, Vol. 28, pp. 70-83.

    • Consumers' Recording Behaviour in Payment Diaries – Empirical Evidence from Germany Schmidt T.

      2014 | Survey Methods: Insights from the Field. Vol. 2014, pp. 1-16.

    • Price discovery on traded inflation expectations: Does the financial crisis matter? Schulz A., Stapf J.

      2014 | European Journal of Finance, Vol. 20(11), pp. 1037-1063.

    • Existence and Computation of the Aumann-Serrano Index of Riskiness and its Extension Schulze K.

      2014 | Journal of Mathematical Economics, Vol. 50(1), pp. 219-224.

    • Reforming the labor market and improving competitiveness: An analysis for Spain using FiMod Schwarzmüller T., Stähler N.

      2014 | SERIEs, Vol. 4(4), pp. 437-471.

    • Quantifying the Impact of Leveraging and Diversification on Systemic Risk Tasca P., Mavrodiev P., Schweitzer F.

      2014 | Journal of Financial Stability, Vol. 15, pp. 43-52.

    • Same as it ever was? Europe's national borders and the market for corporate control Umber M., Grote M., Frey R.

      2014 | Journal of International Money and Finance, Vol. 40, pp. 109-127.

    • Bracket Creep Revisited – with and without r > g: Evidence from Germany Zhu J.

      2014 | Journal of Income Distribution, Vol. 23(3-4), pp. 106ff.

  • 2013
    • Speculation as a trigger for regulation of capital markets in Germany in the late 19th century Baltzer M.

      2013 | Economic History Yearbook 2013/2, pp. 95-110.

    • Is local bias a cross-border phenomenon? Evidence from individual investors' international asset allocation Baltzer M., Stolper O., Walter A.

      2013 | Journal of Banking and Finance, Vol. 37(8), pp. 2823-2835.

    • Does it pay to have friends? Social ties and executive appointments in banking Berger A., Kick T., Koetter M., Schaeck K.

      2013 | Journal of Banking and Finance, Vol. 37, pp. 2087-2105.

    • Are there bubbles in the Sterling-dollar exchange rate? New evidence from sequential ADF tests Bettendorf T., Chen W.

      2013 | Economics Letters, Elsevier, Vol. 120(2), pp. 350-353.

    • Einige Anmerkungen zum Wesen der Deflation aus Sicht der Finanzstabilität Bleich D., Bleich T., Fendel R.

      2013 | Zeitschrift für Wirtschaftspolitik, Vol. 62(2), pp. 134-158.

    • Monetary Policy and Stock Market Volatility Bleich D., Fendel R., Rülke J.-C.

      2013 | Economics Bulletin, Vol. 33(3), pp. 1669-1680.

    • Default of systemically important financial intermediaries: short-term stability versus incentive compatibility? Dombret A., Ebner A.

      2013 | German Economic Review, Vol. 14(1), pp. 15-30.

    • Monetary policy, housing booms, and financial (im)balances Eickmeier S., Hoffmann B.

      2013 | Macroeconomic Dynamics, Vol. 17(4), pp. 830-860.

    • The global dimension of inflation – evidence from factor-augmented Phillips curves Eickmeier S., Pijnenburg K.

      2013 | Oxford Bulletin of Economics and Statistics, Vol. 75(1), pp. 103-122.

    • Unrestricted mixed data sampling (MIDAS): MIDAS regressions with unrestricted lag polynomials Foroni C., Marcellino M., Schumacher C.

      2013 | Journal of the Royal Statistical Society Series A: Statistics in Society, Volume 178, Issue 1, Pages 57–82

    • Do private sector forecasters chase after IMF or OECD forecasts? Frenkel M., Rülke J., Zimmermann L.

      2013 | Journal of Macroeconomics, Vol. 37, pp. 217-229.

    • The effect of the interbank network structure on contagion and common shocks Georg C.

      2013 | Journal of Banking and Finance, Vol. 37(7), pp. 2216-2228.

    • Assessing Macro-Financial Linkages: A Model Comparison Exercise Gerke R., Jonsson M., Kliem M., Kolasa M., Lafourcade P., Locarno A., Makarskic K., McAdam P.

      2013 | Economic Modelling, Vol. 31(3), pp. 253-264.

    • Purchase and Redemption Decisions of Mutual Fund Investors and the Role of Fund Families Jank S., Wedow M.

      2013 | European Journal of Finance, Vol. 19(2), pp. 127-144.

    • Empirical Simultaneous Prediction Regions for Path-Forecasts Jordà Ò., Knüppel M., Marcellino M.

      2013 | International Journal of Forecasting, Vol. 29(3), pp. 456-468.

    • Does the euro dominate Central and Eastern European money markets? Kadow A., Cerrato M., MacDonald R., Straetmans S.

      2013 | Journal of International Money and Finance, Vol. 32, pp. 700-718.

    • Reconciling narrative monetary policy disturbances with structural VAR model shocks? Kliem M., Kriwoluzky A.

      2013 | Economics Letters, Vol. 121(2), pp. 247-251.

    • Ein nutzungskostenbasierter Ansatz zur Messung des Faktors Kapital in aggregierten Produktionsfunktionen Knetsch T. A.

      2013 | Jahrbücher für Nationalökonomie und Statistik, Vol. 233(5+6), pp. 638-660.

    • What determines the dynamics of absolute excess returns on stock markets? Kurz C., Kurz-Kim J.-R.

      2013 | Economics Letters, Vol. 118(2), pp. 342-346.

    • Pooling versus model selection for nowcasting GDP with many predictors: Empirical evidence for six industrialized countries Kuzin V., Marcellino M., Schumacher C.

      2013 | Journal of Applied Econometrics, Vol. 28(3), pp. 392-411.

    • The debt brake: business cycle and welfare consequences of Germany's new fiscal policy rule Mayer E., Stähler N.

      2013 | Empirica: Journal of European Economics, Vol. 40(1), pp. 39-74.

    • The Two-Sided Effect of Financial Globalization on Output Volatility Meller B.

      2013 | Review of World Economics, Vol. 149(3), pp. 477-504.

    • Bank management of the net interest margin: New measures Memmel C., Schertler A.

      2013 | Financial Markets and Portfolio Management, Vol. 27(3), pp. 275-297.

    • Contagion in the interbank market and its determinants Memmel C., Sachs A.

      2013 | Journal of Financial Stability, Vol. 9(1), pp. 46-54.

    • Are insurers SIFIs? A MGARCH model to measure interconnectedness Podlich N., Wedow M.

      2013 | Applied Economics Letters, Vol. 20(7), pp. 677-681.

    • Systemic Risk Contributions: A Credit Portfolio Approach Düllmann K., Puzanova N.

      2013 | Journal of Banking and Finance, Vol. 37(4), pp. 1243-1257.

    • Regulation, credit risk transfer with CDS, and bank lending Pausch T., P. Welzel

      2013 | Credit and Capital Markets (Kredit und Kapital), Vol. 46(4), pp. 439-465.

    • Forecast uncertainty and the Bank of England’s interest rate decisions Schultefrankenfeld G.

      2013 | Studies in Nonlinear Dynamics and Econometrics, Vol. 17(1), pp. 1-20.

    • Reforming the labor market and improving competitiveness: An analysis for Spain using FiMod Schwarzmüller T., Stähler N.

      2013 | Empirica: Journal of European Economics, Vol. 4(4), pp. 437-471.

    • Recent developments in quantitative models of sovereign default Stähler N.

      2013 | Journal of Economic Surveys, Vol. 27(4), pp. 605-633.

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