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Year of publication
Subject
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monetary policy 109 Theorie 94 Theory 94 United States 88 USA 82 Monetary policy 76 Geldpolitik 68 EU countries 61 EU-Staaten 60 Finland 42 Business cycle 41 Konjunktur 41 fiscal policy 40 Financial crisis 34 inflation 34 Euro area 33 Finanzkrise 32 Phillips curve 32 Eurozone 31 banking 30 business cycles 30 Finnland 27 Forecasting model 25 Prognoseverfahren 25 Schock 25 Shock 25 expectations 25 Bank lending 22 Bank regulation 22 Inflation 22 Bankenregulierung 21 DSGE model 21 Kreditgeschäft 21 Neoclassical synthesis 21 Neoklassische Synthese 21 Welt 21 World 21 Impact assessment 20 Wirkungsanalyse 20 economic growth 20
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Online availability
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Free 2,282
Type of publication
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Book / Working Paper 2,282
Type of publication (narrower categories)
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Working Paper 918 Arbeitspapier 372 Graue Literatur 369 Non-commercial literature 369 Case study 1 Fallstudie 1 Systematic review 1 Übersichtsarbeit 1
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Language
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English 1,479 Undetermined 777 German 17 Finnish 5 Hungarian 5
Author
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Hasan, Iftekhar 238 Paloviita, Maritta 67 Takalo, Tuomas 65 Kilponen, Juha 56 Verona, Fabio 53 Jokivuolle, Esa 52 Honkapohja, Seppo 51 Francis, Bill B. 44 Wu, Qiang 31 Crowley, Patrick M. 30 Francis, Bill 30 Haavio, Markus 30 Ambrocio, Gene 28 Virén, Matti 27 Juselius, Mikael 26 Kauko, Karlo 25 Bask, Mikael 24 Dreher, Axel 24 Kerr, William R. 24 Strulik, Holger 23 Milne, Alistair 21 Castelnuovo, Efrem 20 Evans, George W. 20 Sun, Xian 19 Vilmunen, Jouko 19 Jonson, P.D. 17 Lowe, Philip 17 Tölö, Eero 17 Viren, Matti 17 Hyytinen, Ari 16 McClung, Nigel 16 Ripatti, Antti 16 Faria, Gonçalo 15 Kent, Christopher 15 Mitra, Kaushik 15 Caggiano, Giovanni 14 Gulan, Adam 14 Krenz, Astrid 14 Laine, Olli-Matti 14 Nunnenkamp, Peter 14
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Institution
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Suomen Pankki 547 Reserve Bank of Australia 426 Center for European, Governance and Economic Development Research (CeGE), Wirtschaftswissenschaftliche Fakultät 242 Center for Globalization and Europeanization of the Economy (CeGE), Georg-August-Universität 115 Department of Agricultural Economics and Economics, Montana State University-Bozeman 19 Center for Operations Research and Econometrics <Louvain-la-Neuve> 1 Helsinki Center of Economic Research 1
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Published in...
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Research Discussion Papers / Suomen Pankki 547 Bank of Finland Research Discussion Papers 546 RBA Research Discussion Papers 426 Bank of Finland research discussion papers 361 Center for European, Governance and Economic Development Research Discussion Papers 244 cege – Center for European, Governance and Economic Development Research Discussion Papers 115 Trade Research Center Research Discussion Papers 19 PSI research discussion papers 9 PSI research report 9 Center for European Governance and Economic Development Research, Discussion Papers 2 Center for European, Governance and Economic Development Research - Discussion Papers 2 PSI research discussion paper / Policy Studies Institute 2 Bank of Finland Research Discussion Papers (2018) 1 Bank of Finland Research Discussion Papers, 16, 2020 1 Bank of Finland Research Discussion Papers, 2020 1 CEGE - Center for European, Governance and Economic Development Research, Discussion Papers 1 CORE DISCUSSION PAPER 1 Center for European Governance and Economic Development Research Discussion Papers 1 Center for European, Governance and Economic Development Research Discussion Papers, Number 234 1 Center for Operations Research - Discussion Papers 2009 1 Discussion Paper No 218 / May 2008 1 Helsinki Center of Economic Research - Discussion Papers 1 ISBN 978-952-323-248-8 1 RBA Research Discussion Papers rdp2018-08, Reserve Bank of Australia 1
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Source
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RePEc 1,349 EconStor 546 ECONIS (ZBW) 385 USB Cologne (business full texts) 2
Showing 1 - 10 of 2,282
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From waves to rates: Enhancing inflation forecasts through combinations of frequency-domain models
Verona, Fabio - 2025
This paper addresses the challenge of inflation forecasting by adopting a thick modeling approach that integrates forecasts from time- and frequency-domain models. Frequency-domain models excel at capturing long-term trends while also accounting for short-term fluctuations. Combining these...
Persistent link: https://www.econbiz.de/10015166825
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Beyond one-size-fits-all: Designing monetary policy for diverse models and frequencies
Dück, Alexander; Verona, Fabio - 2025
We offer a contribution to the analysis of optimal monetary policy. The standard approach to determine what policy rule a central bank should follow is to take a single structural model and minimize the unconditional volatilities of inflation and real activity. In this paper, we propose monetary...
Persistent link: https://www.econbiz.de/10015184739
Saved in:
Cover Image
Beyond one-size-fits-all : designing monetary policy for diverse models and frequencies
Dück, Alexander; Verona, Fabio - 2025
We offer a contribution to the analysis of optimal monetary policy. The standard approach to determine what policy rule a central bank should follow is to take a single structural model and minimize the unconditional volatilities of inflation and real activity. In this paper, we propose monetary...
Persistent link: https://www.econbiz.de/10015181886
Saved in:
Cover Image
From waves to rates : enhancing inflation forecasts through combinations of frequency-domain models
Verona, Fabio - 2025
This paper addresses the challenge of inflation forecasting by adopting a thick modeling approach that integrates forecasts from time- and frequency-domain models. Frequency-domain models excel at capturing long-term trends while also accounting for short-term fluctuations. Combining these...
Persistent link: https://www.econbiz.de/10015164409
Saved in:
Cover Image
ECB's evolving communication and policy preferences since 2021 strategy review
Haavio, Markus; Heikkinen, Joni; Jalasjoki, Pirkka; … - 2025
We study the evolution of the European Central Bank's (ECB) monetary policy since July 2021, following the adoption of a new strategy and amid a period of volatile inflation. Utilizing text analysis, we assess changes in the general sentiment of the ECB's communication. Additionally, we employ...
Persistent link: https://www.econbiz.de/10015329445
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Bank transparency, asset and liquidity risks
Chen, Yehning; Hasan, Iftekhar; Takalo, Tuomas - 2025
We study the effects of bank transparency on both banks' asset and liquidity risks, and ultimately, on banking sector stability and welfare. We show how enhanced bank transparency increases banks' vulnerability to excessive deposit outflows, but this threat of a liquidity crisis incentivizes...
Persistent link: https://www.econbiz.de/10015397995
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Bank transparency, asset and liquidity risks
Chen, Yehning; Hasan, Iftekhar; Takalo, Tuomas - 2025
We study the effects of bank transparency on both banks' asset and liquidity risks, and ultimately, on banking sector stability and welfare. We show how enhanced bank transparency increases banks' vulnerability to excessive deposit outflows, but this threat of a liquidity crisis incentivizes...
Persistent link: https://www.econbiz.de/10015375845
Saved in:
Cover Image
ECB's evolving communication and policy preferences since 2021 strategy review
Haavio, Markus; Heikkinen, Joni; Jalasjoki, Pirkka; … - 2025
We study the evolution of the European Central Bank's (ECB) monetary policy since July 2021, following the adoption of a new strategy and amid a period of volatile inflation. Utilizing text analysis, we assess changes in the general sentiment of the ECB's communication. Additionally, we employ...
Persistent link: https://www.econbiz.de/10015331353
Saved in:
Cover Image
Geopolitical surprises and macroeconomic shocks : a tale of two events
Anttonen, Jetro; Lehmus, Markku - 2025
We investigate the macroeconomic effects of two recent major geopolitical events on the euro area economy, namely, the outbreak of the Israel-Hamas war and the Russian invasion of Ukraine. To take into account the heterogeneity of geopolitical events, we do not seek to identify a homogeneous...
Persistent link: https://www.econbiz.de/10015401983
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Cover Image
Geopolitical surprises and macroeconomic shocks: A tale of two events
Anttonen, Jetro; Lehmus, Markku - 2025
We investigate the macroeconomic effects of two recent major geopolitical events on the euro area economy, namely, the outbreak of the Israel-Hamas war and the Russian invasion of Ukraine. To take into account the heterogeneity of geopolitical events, we do not seek to identify a homogeneous...
Persistent link: https://www.econbiz.de/10015402364
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