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Subject
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EU countries 914 EU-Staaten 914 Theorie 796 Theory 796 Geldpolitik 775 Monetary policy 775 Euro area 660 Eurozone 660 Welt 307 World 307 Schock 296 Shock 296 Financial crisis 288 Finanzkrise 287 USA 245 United States 245 Estimation 243 Schätzung 242 Geldpolitische Transmission 224 Monetary transmission 224 VAR model 223 VAR-Modell 223 Central bank 217 Zentralbank 217 Bank lending 213 Kreditgeschäft 213 Inflation 212 Impact assessment 202 Wirkungsanalyse 202 Business cycle 194 Konjunktur 194 Finanzpolitik 186 Fiscal policy 186 Bank 183 Forecasting model 179 Prognoseverfahren 179 Financial market 139 Finanzmarkt 139 Credit risk 134 Kreditrisiko 134
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Online availability
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Free 3,029
Type of publication
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Book / Working Paper 3,029
Type of publication (narrower categories)
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Arbeitspapier 3,029 Working Paper 3,029 Graue Literatur 2,904 Non-commercial literature 2,904 Systematic review 2 Übersichtsarbeit 2 Konferenzschrift 1
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Language
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English 3,029
Author
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Stracca, Livio 52 Ehrmann, Michael 51 Fratzscher, Marcel 50 McAdam, Peter 39 Popov, Alexander 39 De Santis, Roberto A. 38 Afonso, António 37 Altavilla, Carlo 31 Giannone, Domenico 31 Manganelli, Simone 29 Kok Sørensen, Christoffer 28 Smets, Frank 28 Darracq Pariès, Matthieu 27 Ferrando, Annalisa 27 Laeven, Luc 27 Marqués Ibáñez, David 27 Ongena, Steven 25 Lenza, Michele 24 Mehl, Arnaud 24 Peltonen, Tuomo 24 Ciccarelli, Matteo 22 Coenen, Günter 21 Georgiadis, Georgios 21 Schmidt, Sebastian 21 Vermeulen, Philip 21 Dées, Stéphane 20 Schwaab, Bernd 20 Ca'Zorzi, Michele 19 Hoerova, Marie 19 Reghezza, Alessio 19 Schmitz, Martin 19 Schuknecht, Ludger 19 Slacalek, Jirka 19 Straub, Roland 19 Dieppe, Alistair 18 Georgarakos, Dimitris 18 Tristani, Oreste 18 Cimadomo, Jacopo 17 Jarociński, Marek 17 Kenny, Geoff 17
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Institution
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Task Force on Low Inflation (LIFT) 15 Europäische Zentralbank 4
Published in...
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Working paper series / European Central Bank 3,029 Discussion papers 2
Source
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ECONIS (ZBW) 3,029
Showing 1 - 10 of 3,029
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Securities losses and the bank collateral channel of monetary transmission
Giannetti, Mariassunta; Jasova, Martina; Mendicino, Caterina - 2026
We show that losses on banks' securities portfolios matter for the transmission mechanism of monetary policy even in the absence of financial stability concerns. When banks experience losses in their pledgeable securities, their ability to tap liquidity through the interbank market is impaired,...
Persistent link: https://www.econbiz.de/10015626594
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Synthetic, but how much risk transfer?
Osberghaus, Alex; Schepens, Glenn - 2026
Banks use synthetic risk transfers (SRTs) to offload potential losses in their loan portfolios to non-bank investors while retaining the loans on their balance sheets. We investigate this trillion-euro market using transaction-level data from the euro area, the largest SRT market, and highlight...
Persistent link: https://www.econbiz.de/10015626666
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Severe weather and financial (in)stability
Foroni, Claudia; Gelain, Paolo; Lorusso, Marco; … - 2026
We quantify the effect of severe weather shocks on the US economy in an environment in which the economy can switch between periods of financial stability and financial instability, like the Great Recession. We estimate a New Keynesian dynamic stochastic general equilibrium model with banks and...
Persistent link: https://www.econbiz.de/10015626935
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Assessing the impact of the EU's Recovery and Resilience Facility on institutional quality : a Bayesian synthetic control approach
Zorell, Nico; Zwick, Christoph - 2026
The Recovery and Resilience Facility (RRF), launched in 2021, aims to promote long-term economic growth in EU Member States by incentivising structural reforms and investments. This paper explores a related supply-side transmission mechanism: improvements in institutional quality, as measured by...
Persistent link: https://www.econbiz.de/10015626936
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The third-country effects of trade wars
Darracq Pariès, Matthieu; Eyquem, Aurélien; … - 2026
We study how trade wars propagate to countries that are not directly targeted. We develop a three-country New Keynesian model with trade in final and intermediate goods, incomplete asset markets, and asymmetric monetary regimes, and quantify the spillovers of the 2025 U.S.-China tariff...
Persistent link: https://www.econbiz.de/10015626937
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Central clearing and the pricing of specialness in repo markets
Danisewicz, Piotr; Dieler, Tobias; Mancini, Loriano; … - 2026
Repo markets clear either bilaterally over the counter (OTC) or through central counter-parties (CCPs), which differ in how counterparty risk is priced. In bilateral markets, repo rates reflect borrower-specific risk, while CCP clearing pools counterparties and applies a common pricing rule. We...
Persistent link: https://www.econbiz.de/10015626941
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Who owns crypto in the euro area? : drivers of crypto adoption, payment use, and its interaction with fiat cash
Zamora-Pérez, Alejandro - 2026
Using a survey of 39,507 adults in 17 euro-area countries, I find that crypto-asset owners and the niche subgroup of payers have distinct profiles. Owners - typically younger, male, and financially active - exhibit mixed preferences, valuing both cash-like privacy and card-like speed. Crypto...
Persistent link: https://www.econbiz.de/10015626943
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Dynamic credit constraints : theory and evidence from credit lines
Amberg, Niklas; Jacobson, Tor; Quadrini, Vincenzo; … - 2026
We use a comprehensive Swedish credit register to document that firms across the size distribution have access to substantial borrowing capacity via credit lines. However, most firms choose not to use all available credit, even though interest rates are low compared to their return on equity....
Persistent link: https://www.econbiz.de/10015627072
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Monetary policy under multiple financing constraints
Pérez, Ander; Timmer, Yannick; Van der Ghote, Alejandro - 2026
We revisit the credit channel of monetary policy when firms face multiple financing constraints, a common feature of corporate financing we document empirically. Our theory shows that the multiplicity of constraints dampens the transmission of expansionary policy to firm borrowing and investment...
Persistent link: https://www.econbiz.de/10015627078
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Monetary policy without an anchor
Bocola, Luigi; Dovis, Alessandro; Jørgensen, Kasper; … - 2026
Policymakers often cite the risk that inflation expectations might "de-anchor" as a key reason for responding forcefully to inflationary shocks. We develop a model to analyze this trade-off and to quantify the benefits of stable long-run inflation expectations. In our framework, households and...
Persistent link: https://www.econbiz.de/10015627083
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