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Annex 1: Annotated text of the Minimum Requirements for Risk Management (Mindestanforderungen an das Risikomanagement) in the version of 14 December 2012
730 KB, PDF
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Systemic risk contributions: a credit portfolio approach Discussion paper 08/2011: Klaus Düllmann, Natalia Puzanova
474 KB, PDF
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Exchange rate statistics - November 2016 Statistical Supplement 5 to the Monthly Report
612 KB, PDF
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Exchange rate statistics - October 2016 Statistical Supplement 5 to the Monthly Report
606 KB, PDF
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Exchange rate statistics - April 2016 Statistical Supplement 5 to the Monthly Report
633 KB, PDF
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Exchange rate statistics - March 2016 Statistical Supplement 5 to the Monthly Report
631 KB, PDF
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Location choice and employment decisions: a comparison of German and Swedish multinationals Discussion paper 08/2005: Sascha O. Becker, Karolina Ekholm, Robert Jäckle, Marc-Andreas Mündler
344 KB, PDF
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Methodology and technique for determining structural budget deficits Discussion paper 02/1995: Gerhard Ziebarth
4 MB, PDF
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Financial Stability Review 2017
Given the upbeat prospects for the economy as a whole, there is little risk to the stability of the German financial system at present. Yet with interest rates sitting at low levels for years now and the economy in such robust shape, there is a danger that market participants might underestimate the risks to financial stability, the Bundesbank cautions.