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  • Search: subject:"Growth-at-Risk"
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Year of publication
Subject
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Economic growth 36 Wirtschaftswachstum 35 Risiko 34 Risk 34 Growth-at-Risk 32 Growth-at-risk 32 Regression analysis 31 Regressionsanalyse 31 growth-at-risk 30 Financial crisis 27 Finanzkrise 27 Financial supervision 26 Finanzmarktaufsicht 26 Estimation 21 Schätzung 21 Theorie 19 Theory 19 Forecasting model 18 Impact assessment 18 Prognoseverfahren 18 Wirkungsanalyse 18 quantile regression 18 macroprudential policy 17 Welt 16 World 16 Systemic risk 15 Monetary policy 14 Systemrisiko 14 Geldpolitik 13 financial stability 13 quantile regressions 13 VAR model 12 VAR-Modell 12 Risikomanagement 11 Risk management 11 Statistical distribution 11 Statistische Verteilung 11 Economic forecast 10 Euro area 10 Financial market 10
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Online availability
All
Free 100 Undetermined 27 CC license 4
Type of publication
All
Book / Working Paper 90 Article 33 Other 4
Type of publication (narrower categories)
All
Working Paper 80 Graue Literatur 62 Non-commercial literature 62 Arbeitspapier 59 Article in journal 30 Aufsatz in Zeitschrift 30 Research Report 4 Article 2 Aufsatz im Buch 1 Aufsatzsammlung 1 Book section 1 Hochschulschrift 1
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Language
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English 124 Spanish 3
Author
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Chavleishvili, Sulkhan 10 Kremer, Manfred 7 Manganelli, Simone 7 Emter, Lorenz 6 Schüler, Yves 6 Galán, Jorge E. 5 Gächter, Martin 5 Hasler, Elias 5 Montañez-Enríquez, Ricardo 5 Ossandon Busch, Matias 5 Broto, Carmen 4 Fahr, Stephan 4 Fernández-Gallardo, Álvaro 4 Franta, Michal 4 Lang, Jan Hannes 4 Lloyd, Simon 4 Manuel, Ed 4 Martínez-Jaramillo, Serafín 4 Plaasch, Jannick 4 Rodríguez-Martínez, Anahí 4 Schwaab, Bernd 4 Suárez, Javier 4 Sánchez-Martínez, Manuel 4 Abad, Jorge 3 Beutel, Johannes 3 Boucherie, Louis 3 Boyarchenko, Nina 3 Budnik, Katarzyna 3 Chicana, Diego 3 Cáceres, Esther 3 Estrada, Ángel 3 Ferrer, Alejandro 3 Ganics, Gergely 3 García Villasur, Javier 3 Geiger, Martin 3 Giannone, Domenico 3 Hartwig, Benny 3 Huber, Florian 3 Hurtado, Samuel 3 Kovner, Anna 3
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Institution
All
Sveriges Riksbank 1
Published in...
All
ECB Working Paper 7 Working paper series / European Central Bank 7 Economics letters 4 IMF working papers 4 Discussion paper 3 Documentos de trabajo / Banco de España 3 Journal of financial stability 3 Technical Paper 3 Working paper 3 Working paper series / Czech National Bank 3 AWI discussion paper series 2 CAMA working paper series 2 Deutsche Bundesbank Discussion Paper 2 Discussion papers / CEPR 2 International finance discussion papers 2 Journal of applied econometrics 2 Journal of econometrics 2 NBS working paper 2 Staff Memo 2 Staff memo / Norges Bank 2 Technical paper 2 Working papers 2 Working papers / Croatian National Bank 2 AWI Discussion Paper Series 1 Arbeitspapiere Liechtenstein-Institut 1 BOK working paper 1 CAEPR working papers 1 CREATES research paper 1 CefES paper series 1 Discussion Paper 1 Documentos de trabajo Banco Central de Chile 1 Documentos ocasionales / Banco de España 1 ECB Occasional Paper 1 EIB Working Papers 1 ERSA working paper 1 ESRB Occasional Paper Series 1 ESRB Working Paper Series 1 Economic modelling 1 Economic notes 1 Economic systems 1
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Source
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ECONIS (ZBW) 96 EconStor 27 BASE 4
Showing 1 - 10 of 127
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Growth-at-risk under climate change stress : empirical insights from Albania
Shijak, Gerti - 2026
Persistent link: https://www.econbiz.de/10015637430
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How severe are European regulatory stress test scenarios? A probabilistic calibration for the euro area
Dallari, Pietro; Gattini, Luca - 2026
This paper applies the Growth-at-Risk (GaR) framework to assess downside risks to euro area GDP growth, and it examines …
Persistent link: https://www.econbiz.de/10015564411
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How severe are European regulatory stress test scenarios? : a probabilistic calibration for the euro area
Dallari, Pietro; Gattini, Luca - 2026
This paper applies the Growth-at-Risk (GaR) framework to assess downside risks to euro area GDP growth, and it examines …
Persistent link: https://www.econbiz.de/10015560826
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Risk in a data-rich model
Caldara, Dario; Mumtaz, Haroon; Zhong, Molin - 2026
factor model with stochastic volatility. The model unifies growth-at-risk, inflation-at-risk, and sectoral heterogeneity …
Persistent link: https://www.econbiz.de/10015637333
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Risk in a data-rich model
Caldara, Dario; Mumtaz, Haroon; Zhong, Molin - 2026
Persistent link: https://www.econbiz.de/10015639198
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Multivariate economic tail risk and scenario analysis using the survey of professional forecasters
Schick, Manuel; Opschoor, Anne - 2026
Persistent link: https://www.econbiz.de/10015638609
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Extreme weather in Europe : determinants and economic impact
Chauvet, Marcelle; Morana, Claudio; Silva, Murilo - 2025
Persistent link: https://www.econbiz.de/10015175408
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The transmission of macroprudential policy in the tails : evidence from a narrative approach
Fernández-Gallardo, Álvaro; Lloyd, Simon; Manuel, Ed - 2025
Persistent link: https://www.econbiz.de/10015407079
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A growth-at-risk model for the German economy
Plaasch, Jannick; Röthig, Andreas - 2025
This paper describes a Growth-at-Risk (GaR) model of the Bundesbank for Germany. This model takes the form of a …
Persistent link: https://www.econbiz.de/10015551178
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A growth-at-risk model for the German economy
Plaasch, Jannick; Röthig, Andreas - 2025
This paper describes a Growth-at-Risk (GaR) model of the Bundesbank for Germany. This model takes the form of a …
Persistent link: https://www.econbiz.de/10015550126
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