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EU-Staaten 919 Theorie 763 Eurozone 653 Geldpolitik 637 EU countries 614 Theory 543 Euro area 484 Monetary policy 472 Welt 282 monetary policy 247 Schock 226 World 226 USA 225 Schätzung 207 Finanzkrise 201 Inflation 193 Konjunktur 188 Prognoseverfahren 181 VAR-Modell 176 Financial crisis 174 Zentralbank 167 Shock 166 Finanzpolitik 165 euro area 151 Bank 145 Business cycle 144 Wirkungsanalyse 144 Estimation 141 Geldpolitische Transmission 136 Forecasting model 122 Central bank 121 Zinsstruktur 112 Dynamisches Gleichgewicht 111 Impact assessment 111 Kreditgeschäft 111 Fiscal policy 110 Deutschland 105 VAR model 103 Finanzmarkt 97 Bank lending 96
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Book / Working Paper
Type of publication (narrower categories)
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Working Paper 3,012 Arbeitspapier 2 Graue Literatur 2 Non-commercial literature 2
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English Undetermined 119
Author
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Stracca, Livio 97 Ehrmann, Michael 86 Fratzscher, Marcel 83 McAdam, Peter 79 Popov, Alexander 65 Afonso, António 63 De Santis, Roberto A. 57 Giannone, Domenico 56 Manganelli, Simone 51 Smets, Frank 51 Altavilla, Carlo 48 Darracq Pariès, Matthieu 46 Ferrando, Annalisa 42 Lenza, Michele 42 Ciccarelli, Matteo 41 Coenen, Günter 41 Laeven, Luc 41 Mehl, Arnaud 41 Vermeulen, Philip 41 Ongena, Steven 39 Schwaab, Bernd 37 Schmidt, Sebastian 36 Georgiadis, Georgios 35 Hoerova, Marie 35 Tristani, Oreste 35 Dieppe, Alistair 34 Dées, Stéphane 34 Schmitz, Martin 34 Straub, Roland 33 Willman, Alpo 33 Heider, Florian 32 Cimadomo, Jacopo 31 Reichlin, Lucrezia 31 Vansteenkiste, Isabel 31 Hoffmann, Peter 30 Lamo, Ana 30 Camba-Méndez, Gonzalo 29 Chudik, Alexander 29 Habib, Maurizio Michael 29 Kok, Christoffer 29
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ECB Working Paper NBER working paper series 30,231 NBER Working Paper 28,106 IZA Discussion Papers 20,879 Discussion paper series / IZA 17,920 CESifo Working Paper 15,149 IZA Discussion Paper 13,862 Working paper / National Bureau of Economic Research, Inc. 13,667 Working Paper 11,983 Working paper 11,094 CESifo working papers 10,731 CESifo Working Paper Series 8,624 IMF working papers 8,361 IMF staff country report 5,954 Discussion paper 5,411 IMF country report 5,377 Policy Research Working Paper 5,059 World Bank Policy Research Working Paper 4,736 Discussion paper / Tinbergen Institute 4,404 Policy research working paper : WPS 4,207 Discussion Paper 3,912 Tinbergen Institute Discussion Paper 3,702 IMF Working Paper 3,458 ZEW Discussion Papers 3,434 IMF Working Papers 3,252 Working paper series 3,194 IMF working paper 2,977 Working paper series / European Central Bank 2,564 Working papers 2,356 Nota di Lavoro 2,354 Working paper / World Institute for Development Economics Research 2,314 WIDER Working Paper 2,311 Discussion Papers 2,249 Finance and economics discussion series 2,027 DIW Discussion Papers 1,907 Kiel Working Paper 1,866 RIETI discussion paper series 1,794 ZEW discussion papers 1,755 Papers / arXiv.org 1,736 Discussion papers / Deutsches Institut für Wirtschaftsforschung 1,660
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EconStor 3,010 ECONIS (ZBW) 2,092
Showing 1 - 10 of 5,102
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Flexible asset purchases and repo market functioning
Grasso, Adriana; Poinelli, Andrea - 2025
Flexibility has progressively become a distinctive feature of the implementation of the Eurosystem's asset purchases. In its many manifestations, flexibility has also been used by asset managers in the daily selection of sovereign bonds to limit the impact of asset purchases on repo market...
Persistent link: https://www.econbiz.de/10015199443
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Equity financing in a banking crisis: Evidence from private firms
Kochen, Federico - 2025
To what extent can private firms' external equity substitute for debt financing in a banking crisis? To answer this question, I use firm-level data and firm-bank linkages to estimate the causal effect of an imported lending cut from a large German bank on firms' capital structure and real...
Persistent link: https://www.econbiz.de/10015199486
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Why gradual and predictable? Bank lending during the sharpest quantitative tightening ever
Burlon, Lorenzo; Ferrari, Alessandro; Kho, Stephen; … - 2025
Exploiting the recalibration of ECB's outstanding central bank funding in 2022, we show that a sharp reabsorption of bank liquidity induces a tightening impact on credit supply, as intended when central banks reduce their balance sheets. The tightening originates from the sudden relative...
Persistent link: https://www.econbiz.de/10015199515
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Climate-linked bonds
Broeders, Dirk; Dimitrov, Daniel; Verhoeven, Niek - 2025
Climate-linked bonds, issued by governments and supranational organizations, are pivotal in advancing towards a net-zero economy. These bonds adjust their payoffs based on climate variables such as average temperature and greenhouse gas emissions, providing investors a hedge against long-term...
Persistent link: https://www.econbiz.de/10015199518
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Time-varying risk aversion and inflation-consumption correlation in an equilibrium term structure model
Bletzinger, Tilman; Lemke, Wolfgang; Renne, Jean-Paul - 2025
Inflation risk premiums tend to be positive in an economy mainly hit by supply shocks, and negative if demand shocks dominate. Risk premiums also fluctuate with risk aversion. We shed light on this nexus in a linear-quadratic equilibrium macrofinance model featuring time variation in...
Persistent link: https://www.econbiz.de/10015199554
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When banks hold back: Credit and liquidity provision
Altavilla, Carlo; Rostagno, Massimo; Schumacher, Julian - 2025
Banks are reluctant to tap central bank backup liquidity facilities and use the borrowed funds for loans to the real economy. We show that excessively parsimonious borrowing and lending can arise in a stigma-free model where the banking sector has an incentive to overissue deposits. Banks don't...
Persistent link: https://www.econbiz.de/10015199559
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Nowcasting made easier: A toolbox for economists
Linzenich, Jan; Meunier, Baptiste - 2024
We provide a versatile nowcasting toolbox that supports three model classes (dynamic factor models, large Bayesian VAR, bridge equations) and offers methods to manage data selection and adjust for Covid-19 observations. The toolbox aims at simplifying two key tasks: creating new nowcasting...
Persistent link: https://www.econbiz.de/10015199442
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Estimating the full effect of a partially anticipated event: A market-based approach applied to the case of TLTROIII
Mosk, Benjamin; Vassallo, Danilo - 2024
This paper presents an event-study methodology that combines market data and survey-based probabilities to infer the full effect of a policy decision, as seen through the lens of financial markets. The market reaction to an event's outcome reflects its surprise or announcement effect, and...
Persistent link: https://www.econbiz.de/10015199444
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The impact of ECB banking supervision on climate risk and sustainable finance
Schreiner, Lena; Beyer, Andreas - 2024
This paper provides a first empirical analysis of the impact of the European Central Bank's (ECB's) climate-risk-related supervisory efforts on (i) climate risk exposure and related risk management of banks; and (ii) on the induced shifts in banks' portfolio choices with regard to additional...
Persistent link: https://www.econbiz.de/10015199445
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What shapes spillovers from monetary policy shocks in the United States to emerging market economies?
Andres-Escayola, Erik; McQuade, Peter; Schroeder, Christofer - 2024
Monetary policy decisions by the Federal Reserve System in the US are widely recognised to have spillover effects on the rest of the world. In this paper, we focus on the asymmetric effects of US monetary policy shocks on macro-financial outcomes in emerging market economies (EMEs). We shed...
Persistent link: https://www.econbiz.de/10015199446
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