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Content
2025
- 3040 TLTRO III and banks' loan book rebalancing during the pandemic: less 'targeted' than intended for some?
by Hempell, Hannah S. & Rancoita, Elena & Coi, Claudio Corte & Dadoukis, Aristeidis
- 3039 Banking in the negative: a vector error correction analysis of bank-specific lending and deposit rates
by Sigmund, Michael & Agati, Alessandra
- 3038 Fiscal requirements for price stability when households are not Ricardian
by Dupraz, Stéphane & Picco, Anna Rogantini
- 3037 Putting countries on the cap? Pastoral visits of John Paul II and international trade
by Popov, Alexander
- 3036 From flood to fire: is physical climate risk taken into account in banks’ residential mortgage rates?
by Fontana, Adele & Jarmulska, Barbara & Schwarz, Claudia & Scheid, Benedikt & Scheins, Christopher
- 3035 Consumer attitudes towards a central bank digital currency
by Georgarakos, Dimitris & Kenny, Geoff & Laeven, Luc & Meyer, Justus
- 3034 The heterogeneous effects of household debt relief
by Ferreira, Miguel A. & Adelino, Manuel & Oliveira, Miguel
- 3033 Firm ownership and the macroeconomics of incentive leakages
by Aksoy, Yunus & Daripa, Arup & Samiri, Issam
- 3032 Fiscal and macroprudential policies during an energy crisis
by Priftis, Romanos & Schoenle, Raphael
- 3031 Bank transparency and market efficiency
by Beyer, Andreas & Dautović, Ernest
- 3030 Green and brown returns in a production economy
by Jaccard, Ivan & Kockerols, Thore & Schüler, Yves
- 3029 Investment funds and euro disaster risk
by Longaric, Pablo Anaya & Cera, Katharina & Georgiadis, Georgios & Kaufmann, Christoph
- 3028 The taming of the skew: asymmetric inflation risk and monetary policy
by Petrella, Ivan & De Polis, Andrea & Melosi, Leonardo
- 3027 Climate change policies and technologies: diffusion and interaction with institutions and governance
by Labhard, Vincent & Lehtimäki, Jonne
- 3026 Institutional investors and house prices
by Bandoni, Emil & De Nora, Giorgia & Giuzio, Margherita & Ryan, Ellen & Storz, Manuela
- 3025 Mitigating fragility in open-ended investment funds: the role of redemption restrictions
by Molestina Vivar, Luis
- 3024 Monetary policy and the firm-level labor share: a story about capital
by Steininger, Lea & Matzner, Anna
- 3023 Distressed assets and fiscal-monetary support: are AMCs a third way?
by Martin, Reiner & O’Brien, Edward & Peiris, M. Udara & Tsomocos, Dimitrios P.
- 3022 Digital money and finance: a critical review of terminology
by Bindseil, Ulrich & Coste, Charles-Enguerrand & Pantelopoulos, George
- 3021 Housing wealth across countries: the role of expectations, institutions and preferences
by Le Blanc, Julia & Slacalek, Jiri & White, Matthew N.
- 3020 Carbon pricing, border adjustment and renewable energy investment: a network approach
by Delgado-Téllez, Mar & Quintana, Javier & Santabárbara, Daniel
- 3019 Banking networks and economic growth: from idiosyncratic shocks to aggregate fluctuations
by Kundu, Shohini & Vats, Nishant
- 3018 Non-homothetic housing demand and geographic worker sorting
by Furbach, Nina
- 3017 The implications of CIP deviations for international capital flows
by Kubitza, Christian & Sigaux, Jean-David & Vandeweyer, Quentin
- 3016 Leverage actually: the impact on banks’ borrowing costs in euro area money markets
by Andreeva, Desislava & Samarina, Anna & Faria, Lara Sousa
- 3015 The great supply shock and the euro area, viewed through a suite of supply indices
by Labhard, Vincent & Saliba, Maria Christine
- 3014 The growth effect of EU funds – the role of institutional quality
by Szörfi, Béla & Augusztin, Anna & Iker, Áron & Monisso, Anna
- 3013 Flexible asset purchases and repo market functioning
by Grasso, Adriana & Poinelli, Andrea
- 3012 Time-varying risk aversion and inflation-consumption correlation in an equilibrium term structure model
by Bletzinger, Tilman & Lemke, Wolfgang & Renne, Jean-Paul
- 3011 Climate-linked bonds
by Broeders, Dirk & Dimitrov, Daniel & Verhoeven, Niek
- 3010 Why gradual and predictable? Bank lending during the sharpest quantitative tightening ever
by Burlon, Lorenzo & Ferrari, Alessandro & Kho, Stephen & Tushteva, Nikoleta
- 3009 When banks hold back: credit and liquidity provision
by Altavilla, Carlo & Rostagno, Massimo & Schumacher, Julian
- 3008 Equity financing in a banking crisis: evidence from private firms
by Kochen, Federico
2024
- 3007 The geography of capital allocation in the euro area
by Beck, Roland & Schmitz, Martin & Coppola, Antonio & Lewis, Angus & Maggiori, Matteo & Schreger, Jesse
- 3006 Trust in central banks
by Ehrmann, Michael
- 3005 Why do we need to strengthen climate adaptations? Scenarios and financial lines of defence
by Mongelli, Francesco Paolo & Ceglar, Andrej & Scheid, Benedikt Alois
- 3004 Nowcasting Made Easier: a toolbox for economists
by Linzenich, Jan & Meunier, Baptiste
- 3003 Monetary policy pass-through to consumer prices: evidence from granular price data
by Allayioti, Anastasia & Gόrnicka, Lucyna & Holton, Sarah & Martínez Hernández, Catalina
- 3002 Going NUTS: the regional impact of extreme climate events over the medium term
by Fernandez, Guzman Gonzalez-Torres & Parker, Miles & Usman, Sehrish
- 3001 Real effects of credit supply shocks: evidence from Danish banks, firms, and workers
by Schroeder, Christofer & Hviid, Simon Juul
- 3000 Banks and non-banks stressed: liquidity shocks and the mitigating role of insurance companies
by Sydow, Matthias & Fukker, Gábor & Dubiel-Teleszynski, Tomasz & Franch, Fabio & Gründl, Helmut & Miccio, Debora & Pellegrino, Michela & Gallet, Sébastien & Kotronis, Stelios & Schlütter, Sebastian & Sottocornola, Matteo
- 2999 Financial returns, sentiment and market volatility. A dynamic assessment
by Borgioli, Stefano & Gallo, Giampiero M. & Ongari, Chiara
- 2998 For whom the bill tolls: redistributive consequences of a monetary-fiscal stimulus
by Brzoza-Brzezina, Michał & Kolasa, Marcin & Makarski, Krzysztof & Jabłońska, Julia
- 2997 Time-varying agglomeration economies and aggregate wage growth
by Berson, Clémence & Combes, Pierre-Philippe & Gobillon, Laurent & Sotura, Aurélie
- 2996 Fiscal policy and inflation: accounting for non-linearities in government debt
by Checherita-Westphal, Cristina & Pesso, Tom
- 2995 Asymmetric monetary policy spillovers: the role of supply chains, credit networks and fear of floating
by Mistak, Jakub & Ozkan, F. Gulcin
- 2994 A statistical approach to identifying ECB monetary policy
by Akkaya, Yıldız & Bitter, Lea & Brand, Claus & Fonseca, Luís
- 2993 Government-guaranteed credit and populism
by Dautović, Ernest & Hsieh, Robin
- 2992 Inputs in distress: geoeconomic fragmentation and firms’ sourcing
by Panon, Ludovic & Lebastard, Laura & Mancini, Michele & Borin, Alessandro & Essers, Dennis & Linarello, Andrea & Caka, Peonare & Cariola, Gianmarco & Gentili, Elena & Padellini, Tullia & Requena, Francisco & Timini, Jacopo
- 2991 Variational inference for Bayesian panel VAR models
by Ter Steege, Lucas
- 2990 Climate capitalists
by Gormsen, Niels Joachim & Huber, Kilian & Oh, Sangmin S.
- 2989 Monetary policy and growth-at-risk: the role of institutional quality
by Emter, Lorenz & Setzer, Ralph & Zorell, Nico & Moura, Afonso S.
- 2988 Capital requirements in Pillar 1 or Pillar 2: does it matter for market discipline?
by Witte, Niklas
- 2987 Stablecoins, money market funds and monetary policy
by Aldasoro, Iñaki & Ferrari Minesso, Massimo & Gambacorta, Leonardo & Habib, Maurizio Michael & Cornelli, Giulio
- 2986 How income expectations adjust to inflation – a consumers’ expectations-revealed pass-through
by Di Nino, Virginia & Aprigliano, Valentina
- 2985 The inflationary consequences of prioritising central bank profits
by Gebauer, Stefan & Pool, Sebastiaan & Schumacher, Julian
- 2984 Unraveling the drivers of energy-saving technical change
by Känzig, Diego R. & Williamson, Charles
- 2983 Asymmetries in the transmission of monetary policy shocks over the business cycle: a Bayesian Quantile Factor Augmented VAR
by Velasco, Sofia
- 2982 Estimating the full effect of a partially anticipated event: a market-based approach applied to the case of TLTROIII
by Mosk, Benjamin & Vassallo, Danilo
- 2981 Tackling the volatility paradox: spillover persistence and systemic risk
by Kubitza, Christian
- 2980 Digital euro demand: design, individuals’ payment preferences and socioeconomic factors
by Lambert, Claudia & Larkou, Chloe & Pancaro, Cosimo & Pellicani, Antonella & Sintonen, Meri
- 2979 Aim, focus, shoot. The choice of appropriate and effective macroprudential instruments
by Pirovano, Mara & Azzone, Michele
- 2978 Macroeconomic modelling of CBDC: a critical review
by Bindseil, Ulrich & Senner, Richard
- 2977 The aggregate and distributional implications of credit shocks on housing and rental markets
by Paz-Pardo, Gonzalo & Castellanos, Juan & Hannon, Andrew
- 2976 The life-cycle dynamics of wealth mobility
by Audoly, Richard & Paz-Pardo, Gonzalo & McGee, Rory & Ocampo, Sergio
- 2975 The transmission of bank credit conditions to firms-evidence from linked surveys
by Ferrando, Annalisa & Holton, Sarah & Parle, Conor
- 2974 Corporate reorganization and the reallocation of labor in bankruptcy
by Bonfim, Diana & Nogueira, Gil
- 2973 What shapes spillovers from monetary policy shocks in the United States to emerging market economies?
by Andres Escayola, Erik & McQuade, Peter & Schroeder, Christofer & Tirpák, Marcel
- 2972 Geopolitical risk shocks: when the size matters
by Brignone, Davide & Gambetti, Luca & Ricci, Martino
- 2971 Macro uncertainty, unemployment risk, and consumption dynamics
by Oh, Joonseok & Picco, Anna Rogantini
- 2970 The not-so-hidden risks of ‘hidden-to-maturity’ accounting: on depositor runs and bank resilience
by Feinstein, Zachary & Hałaj, Grzegorz & Søjmark, Andreas
- 2969 Climate risk, bank lending and monetary policy
by Altavilla, Carlo & Boucinha, Miguel & Pagano, Marco & Polo, Andrea
- 2968 The pass-through to inflation of gas price shocks
by López, Lucia & Odendahl, Florens & Parraga Rodriguez, Susana & Silgado-Gómez, Edgar
- 2967 Energy price shocks, monetary policy and inequality
by Bobasu, Alina & Dobrew, Michael & Repele, Amalia
- 2966 Risk-to buffer: setting cyclical and structural banks capital requirements through stress test
by Couaillier, Cyril & Scalone, Valerio
- 2965 ECB-(RE)BASE: Heterogeneity in expectation formation and macroeconomic dynamics
by Adjemian, Stéphane & Bokan, Nikola & Darracq Pariès, Matthieu & Müller, Georg & Zimic, Srečko
- 2964 Inflation (de-)anchoring in the euro area
by Burban, Valentin & De Backer, Bruno & Vladu, Andreea Liliana
- 2963 Passing on the hot potato: the use of ETFs by open-ended funds to manage redemption requests
by Dekker, Lennart & Molestina Vivar, Luis & Weistroffer, Christian
- 2962 Marrying fiscal rules & investment: a central fiscal capacity for Europe
by Vinci, Francesca & Schang, Christopher
- 2961 Reallocation, productivity, and monetary policy in an energy crisis
by Colciago, Andrea & Priftis, Romanos & Chafwehé, Boris
- 2960 Beyond borders: how geopolitics is reshaping trade
by Bosone, Costanza & Stamato, Giovanni
- 2959 Bail-in in action
by Marqués-Ibáñez, David & Santilli, Gianluca & Scardozzi, Giulia
- 2958 Firms’ heterogeneous (and unintended) investment response to carbon price increases
by Matzner, Anna & Steininger, Lea
- 2957 Inflation preferences
by Afrouzi, Hassan & Priftis, Romanos & Dietrich, Alexander M. & Myrseth, Kristian Ove R. & Schoenle, Raphael S.
- 2956 Information technology in banking and entrepreneurship
by Ahnert, Toni & Doerr, Sebastian & Pierri, Nicola & Timmer, Yannick
- 2955 Average inflation targeting: how far to look into the past and the future?
by Masek, Frantisek & Zemlicka, Jan
- 2954 Loss-given-default and macroeconomic conditions
by Georgescu, Oana-Maria & Ponte Marques, Aurea & Galow, Benjamin
- 2953 HANK faces unemployment
by Consolo, Agostino & Hänsel, Matthias
- 2952 The impact of ECB Banking Supervision on climate risk and sustainable finance
by Beyer, Andreas & Schreiner, Lena
- 2951 Buying insurance at low economic cost – the effects of bank capital buffer increases since the pandemic
by Behn, Markus & Forletta, Marco & Reghezza, Alessio
- 2950 Are low interest rates firing back? Interest rate risk in the banking book and bank lending in a rising interest rate environment
by Coulier, Lara & Pancaro, Cosimo & Reghezza, Alessio
- 2949 SAFE to update inflation expectations? New survey evidence on euro area firms
by Baumann, Ursel & Ferrando, Annalisa & Georgarakos, Dimitris & Gorodnichenko, Yuriy & Reinelt, Timo
- 2948 The wage-price pass-through across sectors: evidence from the euro area
by Ampudia, Miguel & Lombardi, Marco Jacopo & Renault, Théodore
- 2947 Productivity-enhancing reallocation during the Covid-19 pandemic
by Lalinsky, Tibor & Meriküll, Jaanika & Lopez-Garcia, Paloma
- 2946 The impact of environmental regulation on clean innovation: are there crowding out effects?
by Benatti, Nicola & Groiss, Martin & Kelly, Petra & Lopez-Garcia, Paloma
- 2945 Burn now or never? Climate change exposure and investment of fossil fuel firms
by Adolfsen, Jakob Feveile & Heissel, Malte & Manu, Ana-Simona & Vinci, Francesca
- 2944 Outages in sovereign bond markets
by Kerssenfischer, Mark & Helmus, Caspar
- 2943 Designing a macroprudential capital buffer for climate-related risks
by Bartsch, Florian & Busies, Iulia & Emambakhsh, Tina & Grill, Michael & Simoens, Mathieu & Spaggiari, Martina & Tamburrini, Fabio
- 2942 The globalization of climate change: amplification of climate-related physical risks through input-output linkages
by Fahr, Stephan & Senner, Richard & Vismara, Andrea
- 2941 Stress testing with multiple scenarios: a tale on tails and reverse stress scenarios
by Aikman, David & Angotti, Romain & Budnik, Katarzyna
- 2940 The quantity theory of money, 1870-2020
by Jung, Alexander
- 2939 The macroeconomics of liquidity in financial intermediation
by Porcellacchia, Davide & Sheedy, Kevin D.
- 2938 Investor heterogeneity and large-scale asset purchases
by Breckenfelder, Johannes & De Falco, Veronica
- 2937 Determinants of bank performance: evidence from replicating portfolios
by Altavilla, Carlo & Begenau, Juliane & Burlon, Lorenzo & Maruhn, Franziska
- 2936 Updating the retirement-consumption puzzle in Italy: who are the most affected?
by Marini, Andrea
- 2935 Monetary policy strategies to navigate post-pandemic inflation: an assessment using the ECB’s New Area-Wide Model
by Darracq Pariès, Matthieu & Kornprobst, Antoine & Priftis, Romanos
- 2934 Macro and micro of external finance premium and monetary policy transmission
by Altavilla, Carlo & Gürkaynak, Refet S. & Quaedvlieg, Rogier
- 2933 Liquidity transformation and Eurosystem credit operations
by Hartung, Benjamin
- 2932 Dominant currency pricing in international trade of services
by Amador, João & Mehl, Arnaud & Schmitz, Martin & Garcia, Joana
- 2931 Mutual funds and safe government bonds: do returns matter?
by Graziano, Marco & Habib, Maurizio Michael
- 2930 Nowcasting consumer price inflation using high-frequency scanner data: evidence from Germany
by Beck, Günter W. & Carstensen, Kai & Menz, Jan-Oliver & Schnorrenberger, Richard & Wieland, Elisabeth
- 2929 Decomposing systemic risk: the roles of contagion and common exposures
by Hałaj, Grzegorz & Hipp, Ruben
- 2928 Monetary asymmetries without (and with) price stickiness
by Jaccard, Ivan
- 2927 Central bank asset purchases and auction cycles revisited: new evidence from the euro area
by Ferrara, Federico Maria
- 2926 Transactional demand for central bank digital currency
by Nocciola, Luca & Zamora-Pérez, Alejandro
- 2925 A new measure of firm-level competition: an application to euro area banks
by van Leuvensteijn, Michiel & Huljak, Ivan & de Bondt, Gabe
- 2924 Is home bias biased? New evidence from the investment fund sector
by Lambert, Claudia & Molestina Vivar, Luis & Wedow, Michael
- 2923 As interest rates surge: flighty deposits and lending
by Cappelletti, Giuseppe & Marqués-Ibáñez, David & Reghezza, Alessio & Salleo, Carmelo
- 2922 Consumer participation in the credit market during the COVID-19 pandemic and beyond
by Charalambakis, Evangelos & Teppa, Federica & Tsiortas, Athanasios
- 2921 Business as usual: bank climate commitments, lending, and engagement
by Sastry, Parinitha & Verner, Emil & Marqués-Ibáñez, David
- 2920 The impact of regulatory changes on rating behaviour
by Karimov, Nodirbek & Kara, Alper & Downing, Gareth & Marqués-Ibáñez, David
- 2919 US monetary policy is more powerful in low economic growth regimes
by De Santis, Roberto A. & Tornese, Tommaso
- 2918 Determinants of currency choice in cross-border bank loans
by Emter, Lorenz & McQuade, Peter & Pradhan, Swapan-Kumar & Schmitz, Martin
- 2917 Spare tyres with a hole: investment funds under stress and credit to firms
by Nicoletti, Giulio & Rariga, Judit & Rodriguez d’Acri, Costanza
- 2916 Loan guarantee and portfolio greening: evidence from European credit registers
by Buchetti, Bruno & Miquel-Flores, Ixart & Perdichizzi, Salvatore & Reghezza, Alessio & Lin, Luca X.
- 2915 Consumers' payment preferences and banking digitalisation in the euro area
by Meyer, Justus & Teppa, Federica
- 2914 Tell me something I don’t already know: learning in low and high-inflation settings
by Weber, Michael & Candia, Bernardo & Afrouzi, Hassan & Ropele, Tiziano & Lluberas, Rodrigo & Frache, Serafin & Meyer, Brent & Kumar, Saten & Gorodnichenko, Yuriy & Georgarakos, Dimitris & Coibion, Olivier & Ponce, George & Kenny, Geoff
- 2913 Public guarantees, private banks’ incentives, and corporate outcomes: evidence from the COVID-19 crisis
by Jiménez, Gabriel & Laeven, Luc & Martinez-Miera, David & Peydró, José-Luis
- 2912 The nonlinear effects of banks’ vulnerability to capital depletion in euro area countries
by Davidson, Sharada Nia & Moccero, Diego Nicolas
- 2911 Aggregate uncertainty, HANK, and the ZLB
by Lin, Alessandro & Peruffo, Marcel
- 2910 Climate transition risk in the banking sector: what can prudential regulation do?
by Grill, Michael & Popescu, Alexandra & Rancoita, Elena
- 2909 Mortgage borrowing limits and house prices: evidence from a policy change in Ireland
by Higgins, Brian E.
- 2908 Measuring market-based core inflation expectations
by Munch Grønlund, Asger & Jørgensen, Kasper & Schupp, Fabian
- 2907 Managing the transition to central bank digital currency
by Assenmacher, Katrin & Ferrari Minesso, Massimo & Mehl, Arnaud & Pagliari, Maria Sole
- 2906 Demographics, labor market power and the spatial equilibrium
by Furbach, Nina
- 2905 Gas price shocks and euro area inflation
by Adolfsen, Jakob Feveile & Ferrari Minesso, Massimo & Mork, Jente Esther & Van Robays, Ine
- 2904 Households' response to the wealth effects of inflation
by Schnorpfeil, Philip & Weber, Michael & Hackethal, Andreas
- 2903 The macroeconomic effects of global supply chain reorientation
by Clancy, Daragh & Smith, Donal & Valenta, Vilém
- 2902 What drives banks’ credit standards? An analysis based on a large bank-firm panel
by Faccia, Donata & Maruhn, Franziska & Köhler-Ulbrich, Petra
- 2901 The role of comovement and time-varying dynamics in forecasting commodity prices
by Allayioti, Anastasia & Venditti, Fabrizio
- 2900 Satellites turn “concrete”: tracking cement with satellite data and neural networks
by d’Aspremont, Alexandre & Arous, Simon Ben & Bricongne, Jean-Charles & Lietti, Benjamin & Meunier, Baptiste
- 2899 Physical and transition risk premiums in euro area corporate bond markets
by Bats, Joost Victor & Bua, Giovanna & Kapp, Daniel
- 2898 Inflation heterogeneity across households
by Kiss, Regina & Strasser, Georg
- 2897 The impact of macroeconomic and monetary policy shocks on credit risk in the euro area corporate sector
by Lo Duca, Marco & Moccero, Diego & Parlapiano, Fabio
- 2896 Deposit market concentration and monetary transmission: evidence from the euro area
by Kho, Stephen
- 2895 The effect of new housing supply in structural models: a forecasting performance evaluation
by Girstmair, Stefan
- 2894 Inflation heterogeneity across Austrian households. Evidence from household scanner data
by Messner, Teresa & Rumler, Fabio
- 2893 I (don’t) owe you: sovereign default and borrowing behavior
by Georgarakos, Dimitris & Popov, Alexander
- 2892 Insurance corporations’ balance sheets, financial stability and monetary policy
by Kaufmann, Christoph & Leyva, Jaime & Storz, Manuela
- 2891 Granular shocks to corporate leverage and the macroeconomic transmission of monetary policy
by Holm-Hadulla, Fédéric & Thürwächter, Claire
- 2890 Firm heterogeneity, capital misallocation and optimal monetary policy
by González, Beatriz & Nuño, Galo & Thaler, Dominik & Albrizio, Silvia
- 2889 Monetary-fiscal policy interactions when price stability occasionally takes a back seat
by Schmidt, Sebastian
- 2888 Central bank digital currency: when price and bank stability collide
by Fernández-Villaverde, Jesús & Schilling, Linda & Uhlig, Harald
- 2887 Destabilisation of bank deposits across destinations: assessment and policy implications
by Bindseil, Ulrich & Senner, Richard
- 2886 Market power in banking
by Carletti, Elena & Leonello, Agnese & Marquez, Robert
- 2885 Dynamic carbon emission management
by Bustamante, Maria Cecilia & Zucchi, Francesca
- 2884 Supply chain disruption and energy supply shocks: impact on euro area output and prices
by De Santis, Roberto A.
- 26 Monetary and fiscal policy interactions: risks to price stability in times of high government debt
by Checherita-Westphal, Cristina & Picco, Anna Rogantini & Schmidt, Sebastian & Sigaux, Jean-David
- 25 The central bank’s balance sheet in the long run: a macro perspective
by Karadi, Peter & Thaler, Dominik & Tristani, Oreste
- 24 Household inflation expectations: an overview of recent insights for monetary policy
by D'Acunto, Francesco & Charalambakis, Evangelos & Georgarakos, Dimitris & Kenny, Geoff & Meyer, Justus & Weber, Michael
2023
- 2883 Financial contagion within the interbank network
by Mikropoulou, Christina D. & Vouldis, Angelos T.
- 2882 “Glossy green” banks: the disconnect between environmental disclosures and lending activities
by Giannetti, Mariassunta & Jasova, Martina & Loumioti, Maria & Mendicino, Caterina
- 2881 Global spillovers from multi-dimensional US monetary policy
by Georgiadis, Georgios & Jarociński, Marek
- 2880 Inflation and fiscal policy: is there a threshold effect in the fiscal reaction function?
by Briodeau, Clémence & Checherita-Westphal, Cristina
- 2879 Risk, monetary policy and asset prices in a global world
by Bekaert, Geert & Hoerova, Marie & Xu, Nancy R.
- 2878 Do debt investors care about ESG ratings?
by Fabisik, Kornelia & Ryf, Michael & Schäfer, Larissa & Steffen, Sascha
- 2877 Who bears the costs of inflation? Euro area households and the 2021–2022 shock
by Pallotti, Filippo & Paz-Pardo, Gonzalo & Slacalek, Jiri & Tristani, Oreste & Violante, Giovanni L.
- 2876 US monetary policy spillovers to European banks
by Jung, Alexander
- 2875 What drives core inflation? The role of supply shocks
by Bańbura, Marta & Bobeica, Elena & Martínez Hernández, Catalina
- 2874 Fund fragility: the role of investor base
by Allaire, Nolwenn & Breckenfelder, Johannes & Hoerova, Marie
- 2873 Loss sharing in central clearinghouses: winners and losers
by Kubitza, Christian & Pelizzon, Loriana & Sherman, Mila Getmansky
- 2872 Do banks practice what they preach? Brown lending and environmental disclosure in the euro area
by Gambacorta, Leonardo & Polizzi, Salvatore & Reghezza, Alessio & Scannella, Enzo
- 2871 Monetary/fiscal policy regimes in post-war Europe
by Bouabdallah, Othman & Jacquinot, Pascal & Patella, Valeria
- 2870 Financial stability considerations in the conduct of monetary policy
by Bochmann, Paul & Dieckelmann, Daniel & Fahr, Stephan & Ruzicka, Josef
- 2869 The bright side of the doom loop: banks’ sovereign exposure and default incentives
by Rojas, Luis E. & Thaler, Dominik
- 2868 Global and local drivers of Bitcoin trading vis-à-vis fiat currencies
by Di Casola, Paola & Habib, Maurizio Michael & Tercero-Lucas, David
- 2867 Do market-based networks reflect true exposures between banks?
by Craig, Ben & Karamysheva, Madina & Salakhova, Dilyara
- 2866 The effects of labor income risk heterogeneity on the marginal propensity to consume
by Savoia, Ettore
- 2865 On the estimation of distributional household wealth: addressing under-reporting via optimization problems with invariant Gini coefficient
by Engel, Janina & Ohlwerter, Dennis & Scherer, Matthias
- 2864 A deep dive into the capital channel of risk sharing in the euro area
by Martín Fuentes, Natalia & Born, Alexandra & Bremus, Franziska & Kastelein, Wieger & Lambert, Claudia
- 2863 Help wanted: the drivers and implications of labour shortages
by Groiss, Martin & Sondermann, David
- 2862 Pollution havens? Carbon taxes, globalization, and the geography of emissions
by Schroeder, Christofer & Stracca, Livio
- 2861 China’s footprint in global financial markets
by Lodge, David & Manu, Ana-Simona & Van Robays, Ine
- 2860 Financial shock transmission to heterogeneous firms: the earnings-based borrowing constraint channel
by Chiţu, Livia & Grothe, Magdalena & Schulze, Tatjana & Van Robays, Ine
- 2859 Liquidity constraints and demand for maturity the case of mortgages
by Ferrari, Alessandro & Loseto, Marco
- 2858 The effect of monetary policy on inflation heterogeneity along the income distribution
by Ampudia, Miguel & Ehrmann, Michael & Strasser, Georg
- 2857 GDP revisions are not cool: the impact of statistical agencies’ trade-off
by Asimakopoulos, Stylianos & Lalik, Magdalena & Paredes, Joan & Salvado García, José
- 2856 Estimating systemic risk for non-listed euro-area banks
by Engle, Robert F. & Emambakhsh, Tina & Manganelli, Simone & Parisi, Laura & Pizzeghello, Riccardo
- 2855 BEAST: A model for the assessment of system-wide risks and macroprudential policies
by Budnik, Katarzyna & Groß, Johannes & Vagliano, Gianluca & Dimitrov, Ivan & Lampe, Max & Panos, Jiri & Velasco, Sofia & Boucherie, Louis & Jančoková, Martina
- 2854 Monetary policy spillovers and the role of prudential policies in the European Union
by Coman, Andra
- 2853 Price setting on the two sides of the Atlantic: evidence from supermarket-scanner data
by Karadi, Peter & Amann, Juergen & Bachiller, Javier Sánchez & Seiler, Pascal & Wursten, Jesse
- 2852 One question at a time! A text mining analysis of the ECB Q&A session
by Angino, Siria & Robitu, Robert
- 2851 Identification of systematic monetary policy
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