Diskussionspapiere
Die Diskussionspapiere mit ökonomischen Studien oder Finanz- und Bankenstudien werden vom Forschungszentrum der Bundesbank erarbeitet.
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The price of liquidity: bank characteristics and market conditions Discussion paper 30/2008: Falko Fecht, Kjell G. Nyborg, Jörg Rocholl
398 KB, PDF
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International financial competitiveness and incentives to foreign direct investment Discussion paper 29/2008: Axel Jochem
309 KB, PDF
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Does regional redistribution spur growth? Discussion paper 28/2008: Michael Koetter, Michael Wedow
560 KB, PDF
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International financial markets' influence on the welfare performance of alternative exchange rate regimes Discussion paper 27/2008: Mathias Hoffmann
559 KB, PDF
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Employment protection and temporary work agencies Discussion paper 26/2008: Florian Baumann, Mario Mechtel, Nikolai Stähler
367 KB, PDF
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Liquidity and the dynamic pattern of price adjustment: a global view Discussion paper 25/2008: Ansgar Belke, Walter Orth, Ralph Setzer
801 KB, PDF
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Stochastic frontier analysis by means of maximum likelihood and the method of moments Discussion paper 19/2008: Andreas Behr, Sebastian Tente
295 KB, PDF
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Sectoral differences in wage freezes and wage cuts: evidence from a new firm survey Discussion paper 24/2008: Daniel Radowski, Holger Bonin
447 KB, PDF
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Financial integration, specialization and systemic risk Discussion paper 23/2008: Falko Fecht, Hans Peter Grüner, Philipp Hartmann
381 KB, PDF
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Financial exchange rates and international currency exposures Discussion paper 22/2008: Philip R. Lane, Jay C. Shambaugh
470 KB, PDF
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Banking globalization, monetary transmission and the lending channel Discussion paper 21/2008: Nicola Cetorelli, Linda S. Goldberg
572 KB, PDF
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Financial globalization and monetary policy Discussion paper 20/2008: Michael B. Devereux, Alan Sutherland
434 KB, PDF
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International portfolios, capital accumulation and foreign assets dynamics Discussion paper 19/2008: Nicolas Coeurdacier, Robert Kollmann, Philippe Martin
704 KB, PDF
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Restrictive immigration policy in Germany: pains and gains foregone? Discussion paper 18/2008: Gabriel Felbermayr, Wido Geis, Wilhelm Kohler
629 KB, PDF
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The global dimension of inflation - evidence from factor-augmented Phillips curves Discussion paper 16/2008: Sandra Eickmeier, Katharina Moll
761 KB, PDF
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Global business cycles: convergence or decoupling? Discussion paper 17/2008: M. Ayhan Kose, Christopher Otrok, Eswar Prasad
660 KB, PDF
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Real estate markets and bank distress Discussion paper 18/2008: Michael Koetter, Tigran Poghosyan
477 KB, PDF
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Stress testing of real credit portfolios Discussion paper 17/2008: Ferdinand Mager, Christian Schmieder
495 KB, PDF
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Foreign (in)direct investment and corporate taxation Discussion paper 15/2008: Georg Wamser
380 KB, PDF
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How informative are macroeconomic risk forecasts? An examination of the Bank of England’s inflation forecasts Discussion paper 14/2008: Malte Knüppel, Guido Schultefrankenfeld
551 KB, PDF
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Great moderation at the firm level? Unconditional versus conditional output volatility Discussion paper 13/2008: Claudia M. Buch, Jörg Döpke, Kerstin Stahn
496 KB, PDF
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The impact of downward rating momentum on credit portfolio risk Discussion paper 16/2008: André Güttler, Peter Raupach
310 KB, PDF
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Sovereign bond market integration: the euro, trading platforms and globalization Discussion paper 12/2008: Alexander Schulz, Guntram B. Wolff
2 MB, PDF
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Financing constraints, firm level adjustment of capital and aggregate implications Discussion paper 11/2008: Ulf von Kalckreuth
301 KB, PDF
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The implications of latent technology regimes for competition and efficiency in banking Discussion paper 15/2008: Michael Koetter, Tigran Poghosyan
472 KB, PDF
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Nonlinear oil price dynamics - a tale of heterogeneous speculators? Discussion paper 10/2008: Stefan Reitz, Ulf Slopek
324 KB, PDF
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Panel estimation of state dependent adjustment when the target is unobserved Discussion paper 09/2008: Ulf von Kalckreuth
420 KB, PDF
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Regulatory capital for market and credit risk interaction: is current regulation always conservative? Discussion paper 14/2008: Thomas Breuer, Martin Jandacka, Klaus Rheinberger, Martin Summer
415 KB, PDF
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A value at risk analysis of credit default swaps Discussion paper 12/2008: Burkhard Raunig, Martin Scheicher
268 KB, PDF
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Systemic bank risk in Brazil: an assessment of correlated market, credit, sovereign and inter-bank risk in an environment with stochastic volatilities and correlations Discussion paper 13/2008: Theodore M. Barnhill, Jr., Marcos Rietti Souto
647 KB, PDF
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Interaction of market and credit risk:an analysis of inter-risk correlation and risk aggregation Discussion paper 11/2008: Klaus Böcker, Martin Hillebrand
326 KB, PDF
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Determinants of European banks' engagement in loan securitization Discussion paper 10/2008: Christina E. Bannier, Dennis N. Hänsel
433 KB, PDF
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Market conditions, default risk and credit spreads Discussion paper 08/2008: Dragon Yongjun Tang, Hong Yan
291 KB, PDF
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The pricing of correlated default risk: evidence from the credit derivatives market Discussion paper 09/2008: Nikola Tarashev, Haibin Zhu
530 KB, PDF
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Which interest rate scenario is the worst one for a bank? Evidence from a tracking bank approach for German savings and cooperative banks Discussion paper 07/2008: Christoph Memmel
467 KB, PDF
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The success of bank mergers revisited - an assessment based on a matching strategy Discussion paper 06/2008: Andreas Behr, Frank Heid
855 KB, PDF
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Rollover risk in commercial paper markets and firms' debt maturity choice Discussion paper 05/2008: Felix Thierfelder
284 KB, PDF
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Estimating asset correlations from stock prices or default rates - which method is superior? Discussion paper 04/2008: Klaus Düllmann, Jonathan Küll, Michael Kunisch
374 KB, PDF
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Business cycle evidence on firm entry Discussion paper 08/2008: Vivien Lewis
363 KB, PDF
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Integration of financial markets and national price levels: the role of exchange rate volatility Discussion paper 07/2008: Mathias Hoffmann, Peter Tillmann
781 KB, PDF
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Monetary policy and bank distress: an integrated micro-macro approach Discussion paper 03/2008: Ferre de Graeve, Thomas Kick, Michael Koetter
530 KB, PDF
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Bank mergers and the dynamics of deposit interest rates Discussion paper 02/2008: Ben R. Craig, Valeriya Dinger
307 KB, PDF
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The German sub-national government bond market: evolution, yields and liquidity Discussion paper 06/2008: Alexander Schulz, Guntram B. Wolff
745 KB, PDF
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Financial markets and the current account - emerging Europe versus emerging Asia Discussion paper 05/2008: Sabine Herrmann, Adalbert Winkler
284 KB, PDF
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Analyzing the interest rate risk of banks using time series of accounting-based data: evidence from Germany Discussion paper 01/2008: Oliver Entrop, Christoph Memmel, Marco Wilkens, Alexander Zeisler
430 KB, PDF
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The impact of thin-capitalization rules on multinationals' financing and investment decisions Discussion paper 03/2008: Thiess Buettner, Michael Overesch, Ulrich Schreiber, Georg Wamser
364 KB, PDF
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Comparing the DSGE model with the factor model:an out-of-sample forecasting experiment Discussion paper 04/2008: Mu-Chun Wang
340 KB, PDF
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Communication, decision-making and the optimal degree of transparency of monetary policy committees Discussion paper 02/2008: Anke Weber
392 KB, PDF
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Can capacity constraints explain asymmetries of the business cycle? Discussion paper 01/2008: Malte Knüppel
384 KB, PDF
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