Search for publications
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Estimating the impact of quality adjustment on consumer price inflation Discussion paper 49/2022: Jan-Oliver Menz, Elisabeth Wieland, Jens Mehrhoff
1 MB, PDF
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Real interest rates, bank borrowing, and fragility Discussion paper 48/2022: Toni Ahnert, Kartik Anand, Philipp Johann König
593 KB, PDF
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On the macroeconomic effects of reinvestments in asset purchase programmes Discussion paper 47/2022: Rafael Gerke, Daniel Kienzler, Alexander Scheer
1 MB, PDF
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What drives inflation? Disentangling demand and supply factors Discussion paper 46/2022: Sandra Eickmeier, Boris Hofmann
3 MB, PDF
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A nonlinear generalization of the Country-Product-Dummy method Discussion paper 45/2022: Ludwig von Auer, Sebastian Weinand
2 MB, PDF
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Financial Stability Review 2022
The macro-financial environment has deteriorated substantially over the course of 2022. It has been shaped by subdued growth prospects, high inflation as well as rising interest rates and risk premia.
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Monthly Report – November 2022
The November 2022 edition of the Monthly Report comments on the economic situation in Germany in autumn 2022.
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Chinese supply chain shocks Discussion paper 44/2022: Makram Khalil, Marc-Daniel Weber
3 MB, PDF