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Content
2019
- 2272 Monetary policy implications of state-dependent prices and wages
by Costain, James & Nakov, Anton & Petit, Borja
- 2271 Credit supply and human capital: evidence from bank pension liabilities
by Barbosa, Luciana & Bilan, Andrada & Célérier, Claire
- 2270 Risky assets in Europe and the US: risk vulnerability, risk aversion and economic environment
by Bekhtiar, Karim & Fessler, Pirmin & Lindner, Peter
- 2269 Shocks and labour cost adjustment: evidence from a survey of European firms
by Mathä, Thomas Y. & Millard, Stephen & Rõõm, Tairi & Wintr, Ladislav & Wyszyński, Robert
- 2268 Dynamic fiscal limits and monetary-fiscal policy interactions
by Battistini, Niccolò & Callegari, Giovanni & Zavalloni, Luca
- 2267 Monetary policy spillovers, capital controls and exchange rate flexibility, and the financial channel of exchange rates
by Georgiadis, Georgios & Zhu, Feng
- 2266 Collateral booms and information depletion
by Asriyan, Vladimir & Laeven, Luc & Martin, Alberto
- 2265 The gender promotion gap: evidence from central banking
by Hospido, Laura & Laeven, Luc & Lamo, Ana
- 2264 The CSPP at work - yield heterogeneity and the portfolio rebalancing channel
by Zaghini, Andrea
- 2263 Can more public information raise uncertainty? The international evidence on forward guidance
by Ehrmann, Michael & Gaballo, Gaetano & Hoffmann, Peter & Strasser, Georg
- 2262 Once bitten: new evidence on the link between IMF conditionality and IMF stigma
by Andone, Irina & Scheubel, Beatrice
- 2261 The benefits and costs of adjusting bank capitalisation: evidence from euro area countries
by Budnik, Katarzyna & Affinito, Massimiliano & Barbic, Gaia & Ben Hadj, Saiffedine & Chretien, Edouard & Dewachter, Hans & Gonzalez, Clara Isabel & Hu, Jenny & Jantunen, Lauri & Jimborean, Ramona & Manninen, Otso & Martinho, Ricardo & Mencía, Javier & Mousarri, Elena & Naruševičius, Laurynas & Nicoletti, Giulio & O’Grady, Michael & Ozsahin, Selcuk & Pereira, Ana Regina & Rivera-Rozo, Jairo & Trikoupis, Constantinos & Venditti, Fabrizio & Velasco, Sofia
- 2260 Macroprudential policy in a monetary union with cross-border banking
by Darracq Pariès, Matthieu & Kok, Christoffer & Rancoita, Elena
- 2259 On the credit and exchange rate channels of central bank asset purchases in a monetary union
by Darracq Pariès, Matthieu & Papadopoulou, Niki
- 2258 Demographics and the natural real interest rate: historical and projected paths for the euro area
by Papetti, Andrea
- 2257 Taylor-rule consistent estimates of the natural rate of interest
by Brand, Claus & Mazelis, Falk
- 2256 Does liquidity regulation impede the liquidity profile of collateral?
by Schmidt, Kirsten
- 2255 Fiscal multipliers and foreign holdings of public debt
by Clancy, Daragh & Martin, Alberto & Broner, Fernando & Erce, Aitor
- 2254 Stress testing household balance sheets in Luxembourg
by Giordana, Gaston & Ziegelmeyer, Michael
- 2253 Concentration, market power and dynamism in the euro area
by Cavalleri, Maria Chiara & Eliet, Alice & McAdam, Peter & Petroulakis, Filippos & Soares, Ana & Vansteenkiste, Isabel
- 2252 Distance(s) and the volatility of international trade(s)
by Mehl, Arnaud & Schmitz, Martin & Tille, Cédric
- 2251 Labor share and growth in the long run
by McAdam, Peter & Bridji, Slim & Charpe, Matthieu
- 2250 Forecasting daily electricity prices with monthly macroeconomic variables
by Foroni, Claudia & Ravazzolo, Francesco & Rossini, Luca
- 2249 Whatever it takes: what’s the impact of a major nonconventional monetary policy intervention?
by Alcaraz, Carlo & Claessens, Stijn & Cuadra, Gabriel & Marqués-Ibáñez, David & Sapriza, Horacio
- 2248 Global growth on life support? The contributions of fiscal and monetary policy since the global financial crisis
by Baumann, Ursel & Lodge, David & Miescu, Mirela S.
- 2247 The Green Golden Rule: habit and anticipation of future consumption
by Faria, Joao Ricardo & McAdam, Peter
- 2246 Mars or mercury redux: the geopolitics of bilateral trade agreements
by Eichengreen, Barry & Mehl, Arnaud & Chiţu, Livia
- 2245 The financial transmission of housing bubbles: evidence from Spain
by Martin, Alberto & Moral-Benito, Enrique & Schmitz, Tom
- 2244 Credit, financial conditions and the business cycle in China
by Lodge, David & Soudan, Michel
- 2243 Monetary policy transmission to mortgages in a negative interest rate environment
by Amzallag, Adrien & Calza, Alessandro & Georgarakos, Dimitris & Sousa, João
- 2242 The anatomy of the euro area interest rate swap market
by Dalla Fontana, Silvia & Holz auf der Heide, Marco & Pelizzon, Loriana & Scheicher, Martin
- 2241 Debt overhang, rollover risk, and corporate investment: evidence from the European crisis
by Kalemli-Ozcan, Sebnem & Laeven, Luc & Moreno, David
- 2240 Breaking the shackles: Zombie firms, weak banks and depressed restructuring in Europe
by Andrews, Dan & Petroulakis, Filippos
- 2239 Money markets, collateral and monetary policy
by De Fiore, Fiorella & Hoerova, Marie & Uhlig, Harald & Rogers, Ciaran
- 2238 America First? A US-centric view of global capital flows
by McQuade, Peter & Schmitz, Martin
- 2237 Empowering central bank asset purchases: The role of financial policies
by Darracq Pariès, Matthieu & Körner, Jenny & Papadopoulou, Niki
- 2236 Do reputable issuers provide better-quality securitizations?
by Deku, Solomon Y. & Kara, Alper & Marqués-Ibáñez, David
- 2235 The link between labor cost and price inflation in the euro area
by Bobeica, Elena & Ciccarelli, Matteo & Vansteenkiste, Isabel
- 2234 Markets, banks, and shadow banks
by Martinez-Miera, David & Repullo, Rafael
- 2233 A dynamic model of bank behaviour under multiple regulatory constraints
by Behn, Markus & Daminato, Claudio & Salleo, Carmelo
- 2232 From cash- to securities-driven euro area repo markets: the role of financial stress and safe asset scarcity
by Brand, Claus & Ferrante, Lorenzo & Hubert, Antoine
- 2231 Do public wages in the euro area explain private wage developments? An empirical investigation
by Attinasi, Maria Grazia & Berardini, Francesco & Palazzo, Alessandra Anna
- 2230 Some borrowers are more equal than others: bank funding shocks and credit reallocation
by De Jonghe, Olivier & Dewachter, Hans & Mulier, Klaas & Ongena, Steven & Schepens, Glenn
- 2229 Medium term treatment and side effects of quantitative easing: international evidence
by Beck, Roland & Duca, Ioana A. & Stracca, Livio
- 2228 When losses turn into loans: the cost of undercapitalized banks
by Blattner, Laura & Farinha, Luísa & Rebelo, Francisca
- 2227 Mind the gap: a multi-country BVAR benchmark for the Eurosystem projections
by Angelini, Elena & Lalik, Magdalena & Lenza, Michele & Paredes, Joan
- 2226 Money, credit, monetary policy and the business cycle in the euro area: what has changed since the crisis?
by Giannone, Domenico & Lenza, Michele & Reichlin, Lucrezia
- 2225 Risk endogeneity at the lender/investor-of-last-resort
by Caballero, Diego & Lucas, André & Schwaab, Bernd & Zhang, Xin
- 2224 CoMap: mapping contagion in the euro area banking sector
by Covi, Giovanni & Gorpe, Mehmet Ziya & Kok, Christoffer
- 2223 Leaning against the wind: macroprudential policy and the financial cycle
by Kockerols, Thore & Kok, Christoffer
- 2222 On the retirement effect of inheritance: heterogeneity and the role of risk aversion
by Garbinti, Bertrand & Georges-Kot, Simon
- 2221 Interest rates and foreign spillovers
by De Santis, Roberto A. & Zimic, Srečko
- 2220 Attenuating the forward guidance puzzle: implications for optimal monetary policy
by Nakata, Taisuke & Ogaki, Ryota & Schmidt, Sebastian & Yoo, Paul
- 9 The architecture of supervision
by Ampudia, Miguel & Beck, Thorsten & Beyer, Andreas & Colliard, Jean-Edouard & Leonello, Agnese & Maddaloni, Angela & Marqués-Ibáñez, David
- 8 Concentration, market power and dynamism in the euro area
by Cavalleri, Maria Chiara & Eliet, Alice & McAdam, Peter & Petroulakis, Filippos & Soares, Ana & Vansteenkiste, Isabel
2018
- 2219 The first twenty years of the European Central Bank: monetary policy
by Hartmann, Philipp & Smets, Frank
- 2218 Re-use of collateral: leverage, volatility, and welfare
by Brumm, Johannes & Grill, Michael & Kubler, Felix & Schmedders, Karl
- 2217 Gambling traps
by Ari, Anil
- 2216 International spillovers of monetary policy: evidence from France and Italy
by Caccavaio, Marianna & Carpinelli, Luisa & Marinelli, Giuseppe & Schmidt, Julia
- 2215 Domestic and external sectoral portfolios: network structure and balance-sheet contagion
by Valla, Natacha & Rancière, Romain & Heipertz, Jonas
- 2214 A macro-financial analysis of the corporate bond market
by Dewachter, Hans & Iania, Leonardo & Lemke, Wolfgang & Lyrio, Marco
- 2213 Debt overhang and investment efficiency
by Popov, Alexander & Wolski, Marcin & Barbiero, Francesca
- 2212 Short-time work in the Great Recession: firm-level evidence from 20 EU countries
by Lydon, Reamonn & Mathä, Thomas Y. & Millard, Stephen
- 2211 How repayments manipulate our perceptions about loan dynamics after a boom
by Adalid, Ramón & Falagiarda, Matteo
- 2210 Cyclical and structural variation in resource allocation: evidence for Europe
by Bartelsman, Eric & Lopez-Garcia, Paloma & Presidente, Giorgio
- 2209 Sources of borrowing and fiscal multipliers
by Priftis, Romanos & Zimic, Srečko
- 2208 Trading ahead of treasury auctions
by Sigaux, Jean-David
- 2207 Lending standards and macroeconomic dynamics
by Gete, Pedro
- 2206 Mixed frequency models with MA components
by Foroni, Claudia & Marcellino, Massimiliano & Stevanović, Dalibor
- 2205 Business cycle duration dependence and foreign recessions
by de Bondt, Gabe & Vermeulen, Philip
- 2204 Inequality and relative saving rates at the top
by Lieberknecht, Philipp & Vermeulen, Philip
- 2203 Fiscal equalization and the tax structure
by Holm-Hadulla, Fédéric
- 2202 Credit supply and demand in unconventional times
by Altavilla, Carlo & Boucinha, Miguel & Holton, Sarah & Ongena, Steven
- 2201 Behavioral & experimental macroeconomics and policy analysis: a complex systems approach
by Hommes, Cars
- 2200 The New Area-Wide Model II: an extended version of the ECB’s micro-founded model for forecasting and policy analysis with a financial sector
by Coenen, Günter & Karadi, Peter & Schmidt, Sebastian & Warne, Anders
- 2199 Monetary policy and bank equity values in a time of low interest rates
by Ampudia, Miguel & Heuvel, Skander Van den
- 2198 Stigma? What stigma? A contribution to the debate on financial market effects of IMF lending
by Scheubel, Beatrice & Tafuro, Andrea & Vonessen, Benjamin
- 2197 Does a big bazooka matter? Central bank balance-sheet policies and exchange rates
by Dedola, Luca & Georgiadis, Georgios & Gräb, Johannes & Mehl, Arnaud
- 2196 Inflation expectations, consumption and the lower bound: micro evidence from a large euro area survey
by Duca, Ioana A. & Kenny, Geoff & Reuter, Andreas
- 2195 Government debt and banking fragility: the spreading of strategic uncertainty
by Nikolov, Kalin & Cooper, Russell
- 2194 Semi-structural credit gap estimation
by Lang, Jan Hannes & Welz, Peter
- 2193 Bank to sovereign risk spillovers across borders: evidence from the ECB’s Comprehensive Assessment
by Breckenfelder, Johannes & Schwaab, Bernd
- 2192 Speed limit policy and liquidity traps
by Nakata, Taisuke & Schmidt, Sebastian & Yoo, Paul
- 2191 Variation margins, fire sales, and information-constrained optimality
by Biais, Bruno & Heider, Florian & Hoerova, Marie
- 2190 How does monetary policy affect income and wealth inequality? Evidence from quantitative easing in the euro area
by Lenza, Michele & Slacalek, Jiri
- 2189 Insolvency frameworks and private debt: an empirical investigation
by Consolo, Agostino & Malfa, Federica & Pierluigi, Beatrice
- 2188 Selecting models with judgment
by Manganelli, Simone
- 2187 Is the top tail of the wealth distribution the missing link between the Household Finance and Consumption Survey and national accounts?
by Chakraborty, Robin & Kavonius, Ilja Kristian & Pérez-Duarte, Sébastien & Vermeulen, Philip
- 2186 Interest rate spreads and forward guidance
by Bredemeier, Christian & Kaufmann, Christoph & Schabert, Andreas
- 2185 Beyond spreads: measuring sovereign market stress in the euro area
by Garcia-de-Andoain, Carlos & Kremer, Manfred
- 2184 Trust and the household-bank relationship
by Ampudia, Miguel & Palligkinis, Spyros
- 2183 (Un)conventional policy and the effective lower bound
by De Fiore, Fiorella & Tristani, Oreste
- 2182 A framework for early-warning modeling with an application to banks
by Lang, Jan Hannes & Peltonen, Tuomas A. & Sarlin, Peter
- 2181 A structural model to assess the impact of bank capitalization changes conditional on a bail-in versus bail-out regime
by Gross, Marco & Dubiel-Teleszynski, Tomasz & Población García, Francisco Javier
- 2180 The role of factor substitution and technical progress in China's great expansion
by Manu, Ana-Simona & McAdam, Peter & Willman, Alpo
- 2179 The global effects of global risk and uncertainty
by Bonciani, Dario & Ricci, Martino
- 2178 Revenue- versus spending-based consolidation plans: the role of follow-up
by Beetsma, Roel & Furtuna, Oana & Giuliodori, Massimo
- 2177 Managing the sovereign-bank nexus
by Dell'Ariccia, Giovanni & Ferreira, Caio & Jenkinson, Nigel & Laeven, Luc & Martin, Alberto & Minoiu, Camelia & Popov, Alexander
- 2176 Who bears interest rate risk?
by Hoffmann, Peter & Langfield, Sam & Pierobon, Federico & Vuillemey, Guillaume
- 2175 ALICE: A new inflation monitoring tool
by Hahn, Elke & Zekaite, Zivile & de Bondt, Gabe
- 2174 Stochastic discounting and the transmission of money supply shocks
by Jaccard, Ivan
- 2173 Life below zero: bank lending under negative policy rates
by Heider, Florian & Saidi, Farzad & Schepens, Glenn
- 2172 International spillovers of quantitative easing
by Kolasa, Marcin & Wesołowski, Grzegorz
- 2171 A methodology for automised outlier detection in high-dimensional datasets: an application to euro area banks' supervisory data
by Farnè, Matteo & Vouldis, Angelos T.
- 2170 Monetary policy and household inequality
by Ampudia, Miguel & Georgarakos, Dimitris & Slacalek, Jiri & Tristani, Oreste & Vermeulen, Philip & Violante, Giovanni L.
- 2169 Benefits and costs of liquidity regulation
by Hoerova, Marie & Mendicino, Caterina & Nikolov, Kalin & Schepens, Glenn & Heuvel, Skander Van den
- 2168 The natural rate of interest and the financial cycle
by Krustev, Georgi
- 2167 Financial frictions, international capital flows and welfare
by Taddei, Filippo
- 2166 Credit shocks, employment protection, and growth: firm-level evidence from Spain
by Laeven, Luc & McAdam, Peter & Popov, Alexander
- 2165 Proposal on ELBE and LGD in-default: tackling capital requirements after the financial crisis
by González, Marta Ramos & Ureña, Antonio Partal & Fernández-Aguado, Pilar Gómez
- 2164 I will survive. Pricing strategies of financially distressed firms
by Duca, Ioana A. & Montero, José M. & Riggi, Marianna & Zizza, Roberta
- 2163 Missing the wealthy in the HFCS: micro problems with macro implications
by Chakraborty, Robin & Waltl, Sofie R.
- 2162 Foreign-law bonds: can they reduce sovereign borrowing costs?
by Chamon, Marcos & Schumacher, Julian & Trebesch, Christoph
- 2161 Are asset price data informative about news shocks? A DSGE perspective
by Iskrev, Nikolay
- 2160 Cross-country linkages and spill-overs in early warning models for financial crises
by Lang, Jan Hannes
- 2159 Nominal wage rigidity in the EU countries before and after the Great Recession: evidence from the WDN surveys
by Branten, Eva & Lamo, Ana & Rõõm, Tairi
- 2158 Non-base wage components as a source of wage adaptability to shocks: evidence from European firms, 2010–2013
by Babecký, Jan & Berson, Clémence & Fadejeva, Ludmila & Lamo, Ana & Marotzke, Petra & Martins, Fernando & Strzelecki, Pawel
- 2157 Wealth effects in the euro area
by Guerrieri, Cinzia & Mendicino, Caterina
- 2156 Designing QE in a fiscally sound monetary union
by Bletzinger, Tilman & von Thadden, Leopold
- 2155 Coordinating monetary and financial regulatory policies
by Van der Ghote, Alejandro
- 2154 Learning about fiscal multipliers during the European sovereign debt crisis: evidence from a quasi-natural experiment
by Gόrnicka, Lucyna & Kamps, Christophe & Koester, Gerrit & Leiner-Killinger, Nadine
- 2153 What are the main obstacles to hiring after recessions in Europe?
by Savšek, Simon
- 2152 Sticky expectations and consumption dynamics
by Carroll, Christopher D. & Crawley, Edmund & Slacalek, Jiri & Tokuoka, Kiichi & White, Matthew N.
- 2151 Exchange rate forecasting on a napkin
by Rubaszek, Michał & Ca' Zorzi, Michele
- 2150 Asset pricing and the propagation of financial shocks
by Jaccard, Ivan
- 2149 From carry trades to curvy trades
by Dreher, Ferdinand & Gräb, Johannes & Kostka, Thomas
- 2148 Private and public risk sharing in the euro area
by Cimadomo, Jacopo & Furtuna, Oana & Giuliodori, Massimo
- 2147 The evolving impact of global, region-specific and country-specific uncertainty
by Mumtaz, Haroon & Musso, Alberto
- 2146 Politics, banks, and sub-sovereign debt: unholy trinity or divine coincidence?
by Koetter, Michael & Popov, Alexander
- 2145 Who benefits from the corporate QE? A regression discontinuity design approach
by Abidi, Nordine & Miquel-Flores, Ixart
- 2144 Countercyclical capital regulation in a small open economy DSGE model
by Lozej, Matija & Onorante, Luca & Rannenberg, Ansgar
- 2143 The post-crisis TFP growth slowdown in CEE countries: exploring the role of Global Value Chains
by Chiacchio, Francesco & Gradeva, Katerina & Lopez-Garcia, Paloma
- 2142 On the optimal labor income share
by Growiec, Jakub & PeterMcAdam & Muck, Jakub
- 2141 Consumption volatility risk and the inversion of the yield curve
by Grasso, Adriana & Natoli, Filippo
- 2140 Euro area real-time density forecasting with financial or labor market frictions
by McAdam, Peter & Warne, Anders
- 2139 Monetary policy and cross-border interbank market fragmentation: lessons from the crisis
by Blattner, Tobias Sebastian & Swarbrick, Jonathan M.
- 2138 Detrending and financial cycle facts across G7 countries: mind a spurious medium term!
by Schüler, Yves S.
- 2137 A minimal moral hazard central stabilisation capacity for the EMU based on world trade
by Beetsma, Roel & Cima, Simone & Cimadomo, Jacopo
- 2136 Dealing with endogeneity in threshold models using copulas: an illustration to the foreign trade multiplier
by Christopoulos, Dimitris & McAdam, Peter & Tzavalis, Elias
- 2135 Sovereign defaults in court
by Schumacher, Julian & Trebesch, Christoph & Enderlein, Henrik
- 2134 Spillovers in space and time: where spatial econometrics and Global VAR models meet
by Elhorst, J. Paul & Gross, Marco & Tereanu, Eugen
- 2133 Deconstructing monetary policy surprises: the role of information shocks
by Jarociński, Marek & Karadi, Peter
- 2132 Priors for the long run
by Giannone, Domenico & Lenza, Michele & Primiceri, Giorgio E.
- 2131 Predicting risk premia in short-term interest rates and exchange rates
by Gräb, Johannes & Kostka, Thomas
- 2130 Cross-border banking in the EU since the crisis: what is driving the great retrenchment?
by Emter, Lorenz & Schmitz, Martin & Tirpák, Marcel
- 2129 Tight money - tight credit: coordination failure in the conduct of monetary and financial policies
by Carrillo, Julio A. & Mendoza, Enrique G. & Nuguer, Victoria & Roldán-Peña, Jessica
- 2128 Time-consistent monetary policy, terms of trade manipulation and welfare in open economies
by Schmidt, Sebastian
- 2127 Labour tax reforms, cross-country coordination and the monetary policy stance in the euro area: a structural model-based approach
by Jacquinot, Pascal & Lozej, Matija & Pisani, Massimiliano
- 2126 Credit constraints, firm investment and growth: evidence from survey data
by Gómez, Miguel García-Posada
- 2125 Portfolio rebalancing and the transmission of large-scale asset programmes: evidence from the euro area
by Albertazzi, Ugo & Becker, Bo & Boucinha, Miguel
- 2124 Credit shocks and the European labour market
by Bodnár, Katalin & Fadejeva, Ludmila & Hoeberichts, Marco & Peinado, Mario Izquierdo & Jadeau, Christophe & Viviano, Eliana
- 2123 Macroprudential regulation in the European Union in 1995-2014: introducing a new data set on policy actions of a macroprudential nature
by Budnik, Katarzyna & Kleibl, Johannes
- 2122 How do firms adjust to rises in the minimum wage? Survey evidence from Central and Eastern Europe
by Bodnár, Katalin & Fadejeva, Ludmila & Iordache, Stefania & Malk, Liina & Paskaleva, Desislava & Pesliakaitė, Jurga & Jemec, Nataša Todorović & Tóth, Peter & Wyszyński, Robert
- 2121 Agent-based model of system-wide implications of funding risk
by Hałaj, Grzegorz
- 7 Managing the sovereign-bank nexus
by Dell'Ariccia, Giovanni & Ferreira, Caio & Jenkinson, Nigel & Laeven, Luc & Martin, Alberto & Minoiu, Camelia & Popov, Alexander
- 6 Monetary policy and household inequality
by Ampudia, Miguel & Georgarakos, Dimitris & Slacalek, Jiri & Tristani, Oreste & Vermeulen, Philip & Violante, Giovanni L.
- 5 Benefits and costs of liquidity regulation
by Hoerova, Marie & Mendicino, Caterina & Nikolov, Kalin & Schepens, Glenn & Heuvel, Skander Van den
2017
- 2120 Capital and liquidity buffers and the resilience of the banking system in the euro area
by Budnik, Katarzyna & Bochmann, Paul
- 2119 Macroeconomic implications of oil price fluctuations: a regime-switching framework for the euro area
by Holm-Hadulla, Fédéric & Hubrich, Kirstin
- 2118 Indebtedness in the EU: a drag or a catalyst for growth?
by Mika, Alina & Zumer, Tina
- 2117 The employment consequences of SMEs’ credit constraints in the wake of the Great Recession
by Cornille, David & Rycx, François & Tojerow, Ilan
- 2116 The portfolio of euro area fund investors and ECB monetary policy announcements
by Bubeck, Johannes & Habib, Maurizio Michael & Manganelli, Simone
- 2115 Evidence on finance and economic growth
by Popov, Alexander
- 2114 The risk premium channel and long-term growth
by Schumacher, Malte D. & Żochowski, Dawid
- 2113 Liquidity provision as a monetary policy tool: the ECB’s non-standard measures after the financial crisis
by Quint, Dominic & Tristani, Oreste
- 2112 Common factors of commodity prices
by Delle Chiaie, Simona & Ferrara, Laurent & Giannone, Domenico
- 2111 Structural reform waves and economic growth
by Marrazzo, Marco & Terzi, Alessio
- 2110 A structural model to study the bail-out process in a bank and its macro-prudential policy implications
by Correia, Ricardo & Dubiel-Teleszynski, Tomasz & Población García, Francisco Javier
- 2109 The international bank lending channel of unconventional monetary policy
by Gräb, Johannes & Żochowski, Dawid
- 2108 Real exchange rate misalignments in the euro area
by Fidora, Michael & Giordano, Claire & Schmitz, Martin
- 2107 On collateral: implications for financial stability and monetary policy
by Corradin, Stefano & Heider, Florian & Hoerova, Marie
- 2106 Dissecting long-term Bund yields in the run-up to the ECB's Public Sector Purchase Programme
by Lemke, Wolfgang & Werner, Thomas
- 2105 Monetary policy and bank profitability in a low interest rate environment
by Altavilla, Carlo & Boucinha, Miguel & Peydró, José-Luis
- 2104 Do we want these two to tango? On zombie firms and stressed banks in Europe
by Storz, Manuela & Koetter, Michael & Setzer, Ralph & Westphal, Andreas
- 2103 Asymmetric wage adjustment and employment in European firms
by Marotzke, Petra & Anderton, Robert & Bairrao, Ana & Berson, Clémence & Tóth, Peter
- 2102 Price rigidities and the granular origins of aggregate fluctuations
by Pasten, Ernesto & Schoenle, Raphael & Weber, Michael
- 2101 Corporate debt and investment: a firm analysis for stressed euro area countries
by Gebauer, Stefan & Setzer, Ralph & Westphal, Andreas
- 2100 More than a feeling: confidence, uncertainty and macroeconomic fluctuations
by Nowzohour, Laura & Stracca, Livio
- 2099 Household spending out of a tax rebate: Italian “€80 tax bonus”
by Neri, Andrea & Rondinelli, Concetta & Scoccianti, Filippo
- 2098 Do negative interest rates make banks less safe?
by Nucera, Federico & Lucas, André & Schaumburg, Julia & Schwaab, Bernd
- 2097 Firm heterogeneity and aggregate business services exports: micro evidence from Belgium, France, Germany and Spain
by Ariu, Andrea & Biewen, Elena & Blank, Sven & Gaulier, Guillaume & González, María Jesus & Meinen, Philipp & Mirza, Daniel & Martín, Cesar & Tello, Patry
- 2096 Home, safe home: cross-country monitoring framework for vulnerabilities in the residential real estate sector
by Bengtsson, Elias & Grothe, Magdalena & Lepers, Etienne
- 2095 Spillovers from the ECB's non-standard monetary policy measures on south-eastern Europe
by Moder, Isabella
- 2094 Subsidising car purchases in the euro area: any spill-over on production?
by Paredes, Joan
- 2093 Why should the world care? Analysis, mechanisms and spillovers of the destination based border adjusted tax
by Baumann, Ursel & Dieppe, Alistair & Dizioli, Allan Gloe
- 2092 Sources of the small firm financing premium: evidence from euro area banks
by Holton, Sarah & McCann, Fergal
- 2091 The political economy of fiscal transparency and independent fiscal councils
by Beetsma, Roel & Debrun, Xavier & Sloof, Randolph
- 2090 What drives export market shares? It depends! An empirical analysis using Bayesian Model Averaging
by Osbat, Chiara & Benkovskis, Konstantins & Bluhm, Benjamin & Bobeica, Elena & Zeugner, Stefan
- 2089 Multiple lending, credit lines and financial contagion
by Cappelletti, Giuseppe & Mistrulli, Paolo Emilio
- 2088 On secular stagnation and low interest rates: demography matters
by Ferrero, Giuseppe & Gross, Marco & Neri, Stefano
- 2087 Housing and the tax system: how large are the distortions in the euro area?
by Fatica, Serena & Prammer, Doris
- 2086 Credit market competition and the gender gap: evidence from local labor markets
by Popov, Alexander & Zaharia, Sonia
- 2085 Between hawks and doves: measuring central bank communication
by Tobback, Ellen & Nardelli, Stefano & Martens, David
- 2084 Bank business models at zero interest rates
by Lucas, André & Schaumburg, Julia & Schwaab, Bernd
- 2083 Active labour market policies and short-time work arrangements: evidence from a survey of Luxembourg firms
by Efstathiou, Konstantinos & Mathä, Thomas Y. & Veiga, Cindy & Wintr, Ladislav
- 2082 Financial globalisation, monetary policy spillovers and macro-modelling: tales from 1001 shocks
by Georgiadis, Georgios & Jančoková, Martina
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