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Multiple search words are automatically linked with "AND". Text enclosed in quotation marks (") returns only the pages in which this text occurs exactly. With the search filters next to the results you have the possibility to further limit your search.
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The Relationship between Liquidity Risk and Credit Risk in Banks Imbierowicz B., Rauch C.
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The macroeconomics effects of monetary policy: a new measure for the United Kingdom Cloyne J., Hürtgen P.
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Financial Frictions and Inflation Differentials in a Monetary Union Hristov N., Huelsewig O., Wollmershaeuser T.
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The Interest Rate PassThrough in the Euro Area During the Global Financial Crisis Hristov N., Huelsewig O., Wollmershaeuser T.
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Consumer Cash Usage: A Cross-Country Comparison with Payment Diary Survey Data Bagnall J., Bounie D., Huynh K. P., Kosse A., Schmidt T., Schuh S. D., Stix H.
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Bracket Creep Revisited with and without r > g: Evidence from Germany Zhu J.
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Knocking on Respondents' Doors - Interviewers and Unit Non-Response in a Large Wealth Survey Le Blanc J., Schmidt T.
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Wealth shocks, credit-supply shocks, and asset allocation: evidence from household and firm portfolios Kick T., Onali E., Ruprecht B., Schaeck K.
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Online Appendix to: Macroprudential Policies and Housing Prices A New Database and Empirical Evidence for Central, Eastern and Southeastern Europe Vandenbussche J., Vogel U., Detragiache E.
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Operationalising the Countercyclical Capital Buffer: Indicator Selection, Threshold Identification and Calibration Detken C. et al.
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Analyzing business and financial cycles using multi-level factor models Breitung J., Eickmeier S.
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Smells Like Fiscal Policy? Assessing the Potential Effectivenes of the ECB's OMT Program Hristov N., Huelsewig O., Siemsen T.,Wollmershaeuser T.
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Stress testing the Canadian banking system: A system-wide approach Anand K., Bédard-Pagé G., Traclet V.
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Capturing the financial cycle in euro area countries, Special Feature B Hiebert P., Klaus B., Peltonen T., Schüler Y., Welz P.
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The Distribution of Debt Across Euro Area Countries: The Role of Individual Characteristics, Institutions and Credit Conditions Bover O., Casado J.M., Costa S., Du Caju P., McCarthy Y., Sierminska E., Tzamourani P., Villanueva E., Zavadil T.
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A single composite financial stress indicator and ist real impact in the euro area Islami M., Kurz-Kim J.-R.
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Does Non-Interest Income Make Banks More risky? Retail- vs. Investment-Oriented Banks Köhler M.
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Price discovery on traded inflation expectations: Does the financial crisis matter? Schulz A., Stapf J.
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Business Models in Banking – How did they evolve and how do they need to be changed in the post-crisis period? Köhler M.
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Provisionseinkommen: Alternative Einnahmequelle von Retailbanken Köhler M.
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Carry funding and safe haven currencies: a threshold regression approach Hossfeld O., MacDonald R.
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A consistent set of multilateral productivity approach-based indicators of price competitiveness Fischer C., Hossfeld O.
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Dramatische Schrumpfungsprozesse der Parteien? Mitgliederverluste der Parteien und die Konsequenzen Dose N., Fischer A.-K.
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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.
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Trennbankensystem – ein Weg zu mehr Finanzstabilität in Deutschland? Dombret A., Liebig T., Stein I.
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Perceived Inflation under Loss Aversion Dräger L., Fritsche U., Menz J.-O.
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Financial Constraints and Foreign Direct Investment: Firm-Level Evidence Buch C.M., Kesternich I., Lipponer A., Schnitzer M.
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Are SME Loans Less Risky than Regulatory Capital Requirements Suggest? Düllmann K., Koziol P.
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Cyclical adjustment in fiscal rules: some evidence on real-time bias for EU-15 countries Kempkes G.