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Content
2015
- 1777 Exports and domestic demand pressure: a dynamic panel data model for the euro area countries
by Rua, António & Soares Esteves, Paulo & Staehr, Karsten & Bobeica, Elena
- 1776 Expectation-driven cycles: time-varying effects
by D'Agostino, Antonello & Mendicino, Caterina
- 1775 Housing market dynamics: Any news?
by Mendicino, Caterina & Gomes, Sandra
- 1774 Does fiscal austerity affect public opinion?
by Stracca, Livio & Kalbhenn, Anna
- 1773 An automatic leading indicator, variable reduction and variable selection methods using small and large datasets: Forecasting the industrial production growth for euro area economies
by Camba-Méndez, Gonzalo & Kapetanios, George & Papailias, Fotis & Weale, Martin R.
- 1772 Fragility in money marketfunds: sponsor support and regulation
by Parlatore, Cecilia
- 1771 Governments' payment discipline: the macroeconomic impact of public payment delays and arrears
by Checherita-Westphal, Cristina & Klemm, Alexander & Viefers, Paul
- 1770 The confidence effects of fiscal consolidations
by Giuliodori, Massimo & Beetsma, Roel & Cimadomo, Jacopo & Furtuna, Oana
- 1769 Ending over-lending: assessing systemic risk with debt to cash flow
by Sarlin, Peter & Ramsay, Bruce A.
- 1768 Macroprudential oversight, risk communication and visualization
by Sarlin, Peter
- 1767 Labour market adjustments in Europe and the US: How different?
by Smets, Frank & Beyer, Robert C. M.
- 1766 Shifting horizons: assessing macro trends before, during, and following systemic banking crises
by Schudel, Willem
- 1765 Endogenous labor share cycles: theory and evidence
by McAdam, Peter & Muck, Jakub & Growiec, Jakub
- 1764 Assessing European competitiveness: the new CompNet microbased database
by di Mauro, Filippo & Lopez-Garcia, Paloma
- 1763 Do professional forecasters behave as if they believed in the new Keynesian Phillips Curve for the euro area?
by López Pérez, Víctor
- 1762 Wealth shocks, unemployment shocks and consumption in the wake of the Great Recession
by Georgarakos, Dimitris & Christelis, Dimitris & Jappelli, Tullio
- 1761 Global value chains: a view from the euro area
by Amador, João & Stehrer, Robert & Cappariello, Rita
- 1760 Comparing fiscal multipliers across models and countries in Europe
by de Walque, Gregory & Pisani, Massimiliano & Kilponen, Juha & Thomas, Carlos & Hlédik, Tibor & Hurtado, Samuel & Hollmayr, Josef & Corbo, Vesna & Schmidt, Sebastian & Micallef, Brian & Maria, José R. & Sideris, Dimitris & Lozej, Matija & Júlio, Paulo & Kulikov, Dmitry & Rysanek, Jakub & Papageorgiou, Dimitris & Lundvall, Henrik & Lemoine, Matthieu
- 1759 Corporate Debt Structure and the Financial Crisis
by De Fiore, Fiorella & Uhlig, Harald
- 1758 Leading indicators of systemic banking crises: Finland in a panel of EU countries
by Sarlin, Peter & Laina, Patrizio & Nyholm, Juho
- 1757 Efficiency, Inefficiency and the MENA Frontier
by McAdam, Peter & Christopoulos, Dimitris
2014
- 1756 The coevolution of money markets and monetary policy, 1815-2008
by Jobst, Clemens & Ugolini, Stefano
- 1755 Fragmentation in the euro overnight unsecured money market
by Manganelli, Simone & Hoffmann, Peter & Garcia-de-Andoain, Carlos
- 1754 New evidence on elementary index bias
by Vermeulen, Philip & Gábor, Enikö
- 1753 MRO bidding in the presence of LTROs: an empirical analysis of the pre-crisis period
by Vogel, Edgar
- 1752 How do exporters react to changes in cost competitiveness?
by Fuss, Catherine & Decramer, Stefaan & Konings, Jozef
- 1751 Competition in the Portuguese economy: estimated price-cost margins under imperfect labour markets
by Amador, João & Soares, Ana Cristina
- 1750 How do financial institutions forecast sovereign spreads?
by Claeys, Peter & Cimadomo, Jacopo & Poplawski Ribeiro, Marcos
- 1749 Linking distress of financial institutions to macrofinancial shocks
by di Mauro, Filippo & Dées, Stéphane & Al-Haschimi, Alexander & Jančoková, Martina
- 1748 Enterprise productivity: a three-speed Europe
by Dall'Olio, Andrea & Iootty, Mariana & Kanehira, Naoto & Saliola, Federica
- 1747 Disaggregating Okun's law: decomposing the impact of the expenditure components of GDP on euro area unemployment
by Anderton, Robert & Aranki, Ted & Bonthuis, Boele & Jarvis, Valerie
- 1746 Financial indicators signalling correlation changes in sovereign bond markets
by De Santis, Roberto A. & Stein, Michael
- 1745 Model of the United States economy with learning MUSEL
by Willman, Alpo & Dieppe, Alistair & Baumann, Ursel & González Pandiella, Alberto
- 1744 Retail market structure and consumer prices in the euro area
by Ciapanna, Emanuela & Rondinelli, Concetta
- 1743 Measuring financial conditions in major non-euro area economies
by Nicoletti, Giulio & Wacker, Konstantin M. & Lodge, David
- 1742 Within- and cross-country price dispersion in the euro area
by Rumler, Fabio & Reiff, Adam
- 1741 Financial reputation, market interventions and debt issuance by banks: a truncated two-part model approach
by Camba-Méndez, Gonzalo & Rodriguez-Palenzuela, Diego & Carbó-Valverde, Santiago
- 1740 Exports and capacity constraints - a smooth transition regression model for six euro area countries
by Belke, Ansgar & Oeking, Anne & Setzer, Ralph
- 1739 Global value chains: surveying drivers and measures
by Amador, João & Cabral, Sónia
- 1738 Optimal monetary policy, asset purchases, and credit market frictions
by Schabert, Andreas
- 1737 Financial fragility of euro area households
by Żochowski, Dawid & Ampudia, Miguel & van Vlokhoven, Has
- 1736 Measuring the effectiveness of cost and price competitiveness in external rebalancing of euro area countries: What do alternative HCIs tell us?
by Tkačevs, Olegs & Christodoulopoulou, Styliani
- 1735 Forecasting the Brent oil price: addressing time-variation in forecast performance
by Van Robays, Ine & Belu Mănescu, Cristiana
- 1734 Pensions and fertility: back to the roots - The introduction of Bismarck's pension scheme and the European fertility decline
by Scheubel, Beatrice & Fenge, Robert
- 1733 Conditional forecasts and scenario analysis with vector autoregressions for large cross-sections
by Giannone, Domenico & Bańbura, Marta & Lenza, Michele
- 1732 One currency, one price? Euro changeover-related inflation in Estonia
by Rõõm, Tairi & Meriküll, Jaanika
- 1731 Do federal reserve bank presidents have a regional bias?
by Jung, Alexander & Latsos, Sophia
- 1730 Credit spreads and the links between the financial and real sectors in a small open economy: the case of the Czech Republic
by Konečný, Tomáš & Babecká Kucharčuková, Oxana
- 1729 Flight to liquidity and the Great Recession
by Radde, Sören
- 1728 Financial stress and economic dynamics: the transmission of crises
by Hubrich, Kirstin & Tetlow, Robert J.
- 1727 The effects of government spending in a small open economy within a monetary union
by Jacquinot, Pascal & Clancy, Daragh & Lozej, Matija
- 1726 Banks, shadow banking, and fragility
by Luck, Stephan & Schempp, Paul
- 1725 Fiscal devaluation in the euro area: a model-based analysis
by Jacquinot, Pascal & Pisani, Massimiliano & Gomes, Sandra
- 1724 Analysing and forecasting price dynamics across euro area countries and sectors: a panel VAR approach
by Dées, Stéphane & Güntner, Jochen
- 1723 Identifying excessive credit growth and leverage
by Detken, Carsten & Alessi, Lucia
- 1722 How do households allocate their assets? Stylised facts from the Eurosystem household finance and consumption survey
by Mathä, Thomas Y. & Savignac, Frédérique & Vermeulen, Philip & Schmidt, Tobias & Bartiloro, Laura & Fessler, Pirmin & Lindner, Peter & Schürz, Martin & Arrondel, Luc & Rampazzi, Cristiana
- 1721 Capital flows and macroprudential policies - A multilateral assessment of effectiveness and externalities
by Beirne, John & Friedrich, Christian
- 1720 Export dynamics and sales at home
by Berman, Nicolas & Berthou, Antoine & Héricourt, Jérôme
- 1719 Intra-industry trade between CESEE countries and the EU15
by Orszaghova, Lucia & Schudel, Willem & Dautović, Ernest
- 1718 The impact of housing non-cash income on the unconditional distribution of household income in Austria
by Fessler, Pirmin & Rehm, Miriam & Tockner, Lukas
- 1717 Short-term determinants of the idiosyncratic sovereign risk premium: a regime-dependent analysis for european credit default swaps
by Vašíček, Bořek & Calice, Giovanni & Miao, RongHui & Štěrba, Filip
- 1716 Collateral amplification under complete markets
by Nikolov, Kalin
- 1715 Stability or upheaval? The currency composition of international reserves in the long run
by Mehl, Arnaud & Eichengreen, Barry & Chiţu, Livia
- 1714 Credit supply dynamics and economic activity in euro area countries: a time-varying parameter VAR analysis
by Bijsterbosch, Martin & Falagiarda, Matteo
- 1713 Employment, hours and optimal monetary policy
by Dossche, Maarten & Lewis, Vivien & Poilly, Céline
- 1712 Signalling fiscal stress in the euro area - a country-specific early warning system
by Hernández de Cos, Pablo & Nickel, Christiane & Koester, Gerrit & Moral-Benito, Enrique
- 1711 Understanding bank-run contagion
by Brown, Martin & Trautmann, Stefan T. & Vlahu, Razvan
- 1710 Market perception of sovereign credit risk in the euro area during the financial crisis
by Camba-Méndez, Gonzalo & Serwa, Dobromil
- 1709 Wealth and income in the euro area: Heterogeneity in households' behaviours?
by Roger, Muriel & Arrondel, Luc & Savignac, Frédérique
- 1708 Optimal mechanisms for the control of fiscal deficits
by Grüner, Hans Peter
- 1707 The financial and macroeconomic effects of OMT announcements
by Giannone, Domenico & Altavilla, Carlo & Lenza, Michele
- 1706 A consistent set of multilateral productivity approach-based indicators of price competitiveness
by Fischer, Christoph & Hossfeld, Oliver
- 1705 Household heterogeneity in the euro area since the onset of the great recession
by Slacalek, Jiri & Vogel, Edgar & Ampudia, Miguel & Pavlickova, Akmaral
- 1704 Are foreign-owned firms different? Comparison of employment volatility and elasticity of labour demand
by Rõõm, Tairi & Meriküll, Jaanika
- 1703 Alternatives for issuer-paid credit rating agencies
by Bongaerts, Dion
- 1702 Bank lines of credit as contingent liquidity: A study of covenant violations and their implications
by Acharya, Viral & Almeida, Heitor & Ippolito, Filippo & Perez, Ander
- 1701 European competitiveness - A semiparametric stochastic metafrontier analysis at the firm level
by Dumont, Michel & Verschelde, Marijn & Rayp, Glenn & Merlevede, Bruno
- 1700 Contagious herding and endogenous network formation in financial networks
by Georg, Co-Pierre
- 1699 Intermediate inputs, external rebalancing and relative price adjustment
by Bems, Rudolfs
- 1698 Margin regulation and volatility
by Brumm, Johannes & Kubler, Felix & Grill, Michael & Schmedders, Karl
- 1697 The growth impact of discretionary fiscal policy measures
by Attinasi, Maria Grazia & Klemm, Alexander
- 1696 A theory of pruning
by Lombardo, Giovanni & Uhlig, Harald
- 1695 Collateral imbalances in intra-european trade? Accounting for the difference between gross and value added trade balances
by Stehrer, Robert & Nagengast, Arne J.
- 1694 Term premia implications of macroeconomic regime changes
by Carboni, Giacomo
- 1693 Logit price dynamics
by Costain, James & Nakov, Anton
- 1692 How fat is the top tail of the wealth distribution?
by Vermeulen, Philip
- 1691 Crisis-proof services: Why trade in services did not suffer during the 2008-2009 collapse
by Ariu, Andrea
- 1690 Household wealth in the euro area: the importance of intergenerational transfers, homeownership and house price dynamics
by Mathä, Thomas Y. & Ziegelmeyer, Michael & Porpiglia, Alessandro
- 1689 Oil prices, exchange rates and asset prices
by Schneider, Daniel & Van Robays, Ine & Fratzscher, Marcel
- 1688 Central bank macroeconomic forecasting during the global financial crisis: the European Central Bank and Federal Reserve Bank of New York experiences
by Onorante, Luca & Alessi, Lucia & Ghysels, Eric & Potter, Simon & Peach, Richard
- 1687 Banks' financial distress, lending supply and consumption expenditure
by Gropp, Reint & Damar, H. Evren & Mordel, Adi
- 1686 Mutual assistance between Federal Reserve Banks, 1913-1960 as prolegomena to the TARGET2 debate
by Mehl, Arnaud & Eichengreen, Barry & Chiţu, Livia & Richardson, Gary
- 1685 Consumer cash usage: a cross-country comparison with payment diary survey data
by Schmidt, Tobias & Stix, Helmut & Huynh, Kim P. & Kosse, Anneke & Schuh, Scott & Bagnall, John & Bounie, David
- 1684 This is what's in your wallet... and how you use it
by Briglevics, Tamás & Schuh, Scott
- 1683 Migrants' choice of remittance channel: Do general payment habits play a role?
by Kosse, Anneke & Vermeulen, Robert
- 1682 Paying for payments: free payments and optimal interchange fees
by Korsgaard, Søren
- 1681 Euro area external imbalances and the burden of adjustment
by di Mauro, Filippo & Pappadà, Francesco
- 1680 Verti-zontal differentiation in export markets
by Di Comite, Francesco & Thisse, Jacques-François & Vandenbussche, Hylke
- 1679 Density characteristics and density forecast performance: a panel analysis
by Kenny, Geoff & Kostka, Thomas & Masera, Federico
- 1678 Competition and bank risk: the effect of securitization and bank capital
by Altunbas, Yener & van Leuvensteijn, Michiel & Marqués-Ibáñez, David
- 1677 Mapping global value chains
by De Backer, Koen & Miroudot, Sébastien
- 1676 Does a leverage ratio requirement increase bank stability?
by Kiema, Ilkka & Jokivuolle, Esa
- 1675 The VIX, the variance premium and stock market volatility
by Hoerova, Marie & Bekaert, Geert
- 1674 ECB monetary policy surprises: identification through cojumps in interest rates
by Linzert, Tobias & Winkelmann, Lars & Bibinger, Markus
- 1673 Micro and macro data: a comparison of the Household Finance and Consumption Survey with financial accounts in Austria
by Lindner, Peter & Andreasch, Michael
- 1672 Wealth differences across borders and the effect of real estate price dynamics: evidence from two household surveys
by Mathä, Thomas Y. & Ziegelmeyer, Michael & Porpiglia, Alessandro
- 1671 Economic surprises and inflation expectations: Has anchoring of expectations survived the crisis?
by Grothe, Magdalena & Lejsgaard Autrup, Søren
- 1670 Identifying hubs and spokes in global supply chains using redirected trade in value added
by Lejour, Arjan & Rojas-Romagosa, Hugo & Veenendaal, Paul
- 1669 The international dimension of confidence shocks
by Dées, Stéphane & Güntner, Jochen
- 1668 The effect of G20 summits on global financial markets
by Stracca, Livio & Lo Duca, Marco
- 1667 Rollover risk, liquidity, and macro-prudential regulation
by Ahnert, Toni
- 1666 Measuring bilateral spillover and testing contagion on sovereign bond markets in Europe
by Claeys, Peter & Vašíček, Bořek
- 1665 Optimal level of government debt - matching wealth inequality and the fiscal sector
by Vogel, Edgar
- 1664 Tax deferral and mutual fund inflows - evidence from a quasi-natural experiment
by Tommasino, Pietro & Cappelletti, Giuseppe & Guazzarotti, Giovanni
- 1663 Net wealth across the euro area - why household structure matters and how to control for it
by Fessler, Pirmin & Lindner, Peter & Segalla, Esther
- 1662 Wealth shocks, credit-supply shocks, and asset allocation: evidence from household and firm portfolios
by Schaeck, Klaus & Kick, Thomas & Onali, Enrico & Ruprecht, Benedikt
- 1661 Cross-border commuting and consuming: an empirical investigation
by Mathä, Thomas Y. & Ziegelmeyer, Michael & Porpiglia, Alessandro
- 1660 U.S. consumer demand for cash in the era of low interest rates and electronic payments
by Schuh, Scott & Briglevics, Tamás
- 1659 Wishful thinking or effective threat? tightening bank resolution regimes and bank risk-taking
by Ignatowski, Magdalena & Korte, Josef
- 1658 Commonality in hedge fund returns: driving factors and implications
by Bussière, Matthieu & Hoerova, Marie & Klaus, Benjamin
- 1657 The costs and beliefs impliedby direct stock ownership
by Barth, Daniel
- 1656 Consumption inequality and family labor supply
by Pistaferri, Luigi & Blundell, Richard & Saporta-Eksten, Itay
- 1655 The distribution of wealth and the marginal propensity to consume
by Carroll, Christopher D. & Slacalek, Jiri & Tokuoka, Kiichi
- 1654 Sovereign credit ratings, market volatility, and financial gains
by Afonso, António & Gomes, Pedro & Taamouti, Abderrahim
- 1653 Fiscal activism and the zero nominal interest rate bound
by Schmidt, Sebastian
- 1652 Macroeconomic experiences and risk taking of euro area households
by Ehrmann, Michael & Ampudia, Miguel
- 1651 Network effects, homogeneous goods and international currency choice: new evidence on oil markets from an older era
by Mehl, Arnaud & Eichengreen, Barry & Chiţu, Livia
- 1650 The euro plus pact: cost competitiveness and external capital flows in the EU countries
by Gabrisch, Hubert & Staehr, Karsten
- 1649 Global corporate bond issuance: what role for US quantitative easing?
by Lo Duca, Marco & Nicoletti, Giulio & Vidal Martinez, Ariadna
- 1648 The Distribution of wealth and the MPC: implications of new European data
by Carroll, Christopher D. & Slacalek, Jiri & Tokuoka, Kiichi
- 1647 External and macroeconomic adjustment in the larger euro area countries
by Angelini, Elena & Ca' Zorzi, Michele & Forster, Katrin
- 1646 Modeling emergence of the interbank networks
by Kok, Christoffer & Hałaj, Grzegorz
- 1645 Forward-looking reaction to bank regulation
by Herrala, Risto
- 1644 Financial conditions index and credit supply shocks for the euro area
by Darracq Pariès, Matthieu & Maurin, Laurent & Moccero, Diego
- 1643 Has US household deleveraging ended? a model-based estimate of equilibrium debt
by Baumann, Ursel & Albuquerque, Bruno & Krustev, Georgi
- 1642 A high frequency assessment of the ECB securities markets programme
by Manganelli, Simone & Idier, Julien & Vergote, Olivier & Ghysels, Eric
- 1641 Rational blinders: strategic selection of risk models and bank capital regulation
by Colliard, Jean-Edouard
- 1640 What drives the market share changes? price versus non-price factors
by Wörz, Julia & Benkovskis, Konstantins
- 1639 The distribution of debt across euro area countries: the role of individual characteristics, institutions and credit conditions
by Bover, Olympia & Du Caju, Philip & Tzamourani, Panagiota & Villanueva, Ernesto & Sierminska, Eva & McCarthy, Yvonne & Casado, Jose Maria & Costa, Sonia & Zavadil, Tibor
- 1638 Central clearing and collateral demand
by Scheicher, Martin & Vuillemey, Guillaume & Duffie, Darrell
- 1637 Characterizing very high uncertainty episodes
by Bijsterbosch, Martin & Guérin, Pierre
- 1636 The impact of monetary policy and exchange rate shocks in Poland: evidence from a time-varying VAR
by Arratibel, Olga & Michaelis, Henrike
- 1635 Does the federal reserve staff still beat private forecasters?
by Jung, Alexander & El-Shagi, Makram & Giesen, Sebastian
- 1634 Micro-based evidence of EU competitiveness: the CompNet database
by Dhyne, Emmanuel & Zurlo, Davide & Sandoz-Dit-Bragard, Charlotte & Chiriacescu, Bogdan & Cazacu, Ana-Maria & Lalinsky, Tibor & Biewen, Elena & Blank, Sven & Meinen, Philipp & Hagemejer, Jan & Tello, Patry & Rodríguez-Caloca, Antonio & Čede, Urška & Meriküll, Jaanika & Rossetti, Stefania & Forlani, Emanuele & di Mauro, Filippo & Berthou, Antoine & Galuščák, Kamil & Altomonte, Carlo & Opromolla, Luca David & Amador, João & Soares, Ana Cristina & Lopez-Garcia, Paloma & Benatti, Nicola & Angeloni, Chiara & Bugamelli, Matteo & D’Aurizio, Leandro & Navaretti, Giorgio Barba & Harasztosi, Péter
- 1633 Buffer-stock saving in a Krusell-Smith world
by Carroll, Christopher D. & Slacalek, Jiri & Tokuoka, Kiichi
- 1632 Anchoring the yield curve using survey expectations
by Giacomini, Raffaella & Altavilla, Carlo & Ragusa, Giuseppe
- 1631 Household risk management and actual mortgage choice in the euro area
by Ehrmann, Michael & Ziegelmeyer, Michael
- 1630 Financial flexibility across the euro area and the UK
by Ferrando, Annalisa & Marchica, Maria-Teresa & Mura, Roberto
- 1629 The impact of news and the SMP on realized (co)variances in the eurozone sovereign debt market
by Giuliodori, Massimo & Beetsma, Roel & de Jong, Frank & Widijanto, Daniel
- 1628 Cross-border production chains and business cycle co-movement between Central and Eastern European countries and euro area member states
by Iossifov, Plamen
- 1627 Spatial dependence in commercial property prices: micro evidence from the Netherlands
by Özyurt, Selin
2013
- 1626 Observation driven mixed-measurement dynamic factor models with an application to credit risk
by Schwaab, Bernd & Koopman, Siem Jan & Lucas, André & Creal, Drew
- 1625 The pricing of sovereign risk and contagion during the European sovereign debt crisis
by Fratzscher, Marcel & Beirne, John
- 1624 Trade, productivity improvements and welfare: an endogenous market structure framework
by Montinari, Letizia
- 1623 Market pricing of credit rating signals
by Grothe, Magdalena
- 1622 Dealing with a liquidity trap when government debt matters: optimal time-consistent monetary and fiscal policy
by Burgert, Matthias & Schmidt, Sebastian
- 1621 Conditional and joint credit risk
by Schwaab, Bernd & Lucas, André & Zhang, Xin
- 1620 The rise of China and India: blessing or curse for the advanced countries?
by Stracca, Livio
- 1619 Micro and macro analysis on household income, wealth and saving in the euro area
by Kavonius, Ilja Kristian & Honkkila, Juha
- 1618 Growth, real exchange rates and trade protectionism since the financial crisis
by Georgiadis, Georgios & Gräb, Johannes
- 1617 Crowding-out or co-existence? the competitive position of EU members and China in global merchandise trade
by Wörz, Julia & Benkovskis, Konstantins & Silgoner, Maria & Steiner, Katharina
- 1616 Firms' export dynamics: experience vs. size
by Berthou, Antoine & Vicard, Vincent
- 1615 Fragmentation, incomes and jobs: an analysis of European competitiveness
by Timmer, Marcel P. & Los, Bart & Stehrer, Robert & de Vries, Gaaitzen
- 1614 On the measurement of foreign direct investment and its relationship to activities of multinational corporations
by Wacker, Konstantin M.
- 1613 House price cycles in Europe
by Fontana, Alessandro & Corradin, Stefano
- 1612 Non-price competitiveness of exports from emerging countries
by Wörz, Julia & Benkovskis, Konstantins
- 1611 Bank reactions after capital shortfalls
by Kok, Christoffer & Schepens, Glenn
- 1610 Central bank collateral, asset fire sales, regulation and liquidity
by Bindseil, Ulrich
- 1609 Foreign investors and risk shocks: seeking a safe haven or running for the exit?
by Stracca, Livio & Habib, Maurizio Michael
- 1608 Optimal control with heterogeneous agents in continuous time
by Nuño, Galo
- 1607 Central bank refinancing, interbank markets and the hypothesis of liquidity hoarding: evidence from a euro-area banking system
by Affinito, Massimiliano
- 1606 Credit constraints and investment in human capital: training evidence from transition economies
by Popov, Alexander
- 1605 Is quantity theory still alive?
by Teles, Pedro & Uhlig, Harald
- 1604 Setting countercyclical capital buffers based on early warning models: would it work?
by Detken, Carsten & Peltonen, Tuomas A. & Schudel, Willem & Behn, Markus
- 1603 Competition in the Portuguese economy: insights from a profit elasticity approach
by Amador, João & Soares, Ana Cristina
- 1602 High frequency trading and price discovery
by Brogaard, Jonathan & Hendershott, Terrence & Riordan, Ryan
- 1601 How do firms in Argentina get financing to export?
by Castagnino, Tomás & D’Amato, Laura & Sangiácomo, Máximo
- 1600 Granger-causal-priority and choice of variables in vector autoregressions
by Jarociński, Marek & Maćkowiak, Bartosz
- 1599 Disentangling the bond-CDS nexus: a stress test model of the CDS market
by Peltonen, Tuomas A. & Vuillemey, Guillaume
- 1598 The performance impact of firm ownership transformation in China
by Beirne, John & Liu, Guy S. & Sun, Pei
- 1597 Predicting distress in European banks
by Betz, Frank & Oprica, Silviu & Peltonen, Tuomas A. & Sarlin, Peter
- 1596 Managers' mobility, trade performance, and wages
by Mion, Giordano & Opromolla, Luca David
- 1595 Price effects of sovereign debt auctions in the Euro-zone: the role of the crisis
by Giuliodori, Massimo & Beetsma, Roel & de Jong, Frank & Widijanto, Daniel
- 1594 Is there a role for domestic demand pressure on export performance?
by Rua, António & Soares Esteves, Paulo
- 1593 Monetary policy, bank capital and credit supply: a role for discouraged and informally rejected firms
by Popov, Alexander
- 1592 Bridging the banking sector with the real economy: a financial stability perspective
by Costeiu, Adrian & Neagu, Florian
- 1591 Sudden stop of capital flows and the consequences for the banking sector and the real economy
by Neagu, Florian & Mihai, Irina
- 1590 Interest rate swaps and corporate default
by Jermann, Urban J. & Yue, Vivian Z.
- 1589 Macroprudential policy instruments and economic imbalances in the euro area
by Kolasa, Marcin & Brzoza-Brzezina, Michał & Makarski, Krzysztof
- 1588 The design of national fiscal frameworks and their budgetary impact
by Nerlich, Carolin & Reuter, Wolf Heinrich
- 1587 Assessing asset purchases within the ECB’s securities markets programme
by Schwaab, Bernd & Eser, Fabian
- 1586 What’s going on behind the euro area Beveridge curve(s)?
by Vanhala, Juuso & Bonthuis, Boele & Jarvis, Valerie
- 1585 On the fortunes of stock exchanges and their reversals: evidence from foreign listings
by Fernandes, Nuno & Giannetti, Mariassunta
- 1584 Macroeconomic imbalances: a question of trust?
by Stracca, Livio & Buetzer, Sascha & Jordan, Christina
- 1583 The network structure of the CDS market and its determinants
by Scheicher, Martin & Peltonen, Tuomas A. & Vuillemey, Guillaume
- 1582 Risks to price stability, the zero lower bound and forward guidance: a real-time assessment
by Coenen, Günter & Warne, Anders
- 1581 Tobin LIVES: Integrating evolving credit market architecture into flow of funds based macro-models
by Duca, John & Muellbauer, John
- 1580 A predictability test for a small number of nested models
by Hubrich, Kirstin & Granziera, Eleonora & Moon, Hyungsik Roger