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Series handle: RePEc:ecb:ecbwps
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Content
2017
- 2080 Communication of monetary policy in unconventional times
by Coenen, Günter & Ehrmann, Michael & Gaballo, Gaetano & Hoffmann, Peter & Nakov, Anton & Nardelli, Stefano & Persson, Eric & Strasser, Georg
- 2079 The leverage ratio, risk-taking and bank stability
by Smith, Jonathan Acosta & Grill, Michael & Lang, Jan Hannes
- 2078 When do countries implement structural reforms?
by Da Silva, António Dias & Givone, Audrey & Sondermann, David
- 2077 Estimating the impact of shocks to bank capital in the euro area
by Kanngiesser, Derrick & Martin, Reiner & Maurin, Laurent & Moccero, Diego
- 2076 Structural asymmetries and financial imbalances in the eurozone
by Jaccard, Ivan & Smets, Frank
- 2075 The macroeconomic impact of the ECB's expanded asset purchase programme (APP)
by Gambetti, Luca & Musso, Alberto
- 2074 Reducing large net foreign liabilities
by Fidora, Michael & Schmitz, Martin & Tcheng, Céline
- 2073 House prices and monetary policy in the euro area: evidence from structural VARs
by Nocera, Andrea & Roma, Moreno
- 2072 Monetary-fiscal interactions and the euro area's malaise
by Jarociński, Marek & Maćkowiak, Bartosz
- 2071 Lobbying in Europe: new firm-level evidence
by Dellis, Konstantinos & Sondermann, David
- 2070 Business models of the banks in the euro area
by Farnè, Matteo & Vouldis, Angelos
- 2069 Culture and household saving
by Guin, Benjamin
- 2068 Knightian uncertainty and credit cycles
by Gerba, Eddie & Żochowski, Dawid
- 2067 Government guarantees and the two-way feedback between banking and sovereign debt crises
by Leonello, Agnese
- 2066 Determinants of FDI inflows in advanced economies: Does the quality of economic structures matter?
by Dellis, Konstantinos & Sondermann, David & Vansteenkiste, Isabel
- 2065 The importance of being special: repo markets during the crisis
by Corradin, Stefano & Maddaloni, Angela
- 2064 Sectoral interlinkages in global value chains: spillovers and network effects
by Frohm, Erik & Gunnella, Vanessa
- 2063 Does employment protection legislation affect credit access? Evidence from Europe
by Moro, Andrea & Maresch, Daniela & Ferrando, Annalisa & Udell, Gregory F.
- 2062 The great Irish (de)leveraging 2005-14
by Lydon, Reamonn & McIndoe-Calder, Tara
- 2061 Capital requirements, risk shifting and the mortgage market
by Uluc, Arzu & Wieladek, Tomasz
- 2060 Reading the Footprints: how foreign investors shape countries' participation in global value chains
by Buelens, Christian & Tirpák, Marcel
- 2059 Does marketing widen borders? Cross-country price dispersion in the European car market
by Dvir, Eyal & Strasser, Georg
- 2058 On the sources of business cycles: implications for DSGE models
by Andrle, Michal & Brůha, Jan & Solmaz, Serhat
- 2057 How to predict financial stress? An assessment of Markov switching models
by Duprey, Thibaut & Klaus, Benjamin
- 2056 Bid-to-cover and yield changes around public debt auctions in the euro area
by Beetsma, Roel & Giuliodori, Massimo & Hanson, Jesper & de Jong, Frank
- 2055 Spillovers among sovereign debt markets: identification by absolute magnitude restrictions
by De Santis, Roberto A. & Zimic, Srečko
- 2054 Do stress tests matter? Evidence from the 2014 and 2016 stress tests
by Georgescu, Oana-Maria & Gross, Marco & Kapp, Daniel & Kok, Christoffer
- 2053 Learning from prices: amplication and business fluctuations
by Chahrour, Ryan & Gaballo, Gaetano
- 2052 Flow effects of central bank asset purchases on euro area sovereign bond yields: evidence from a natural experiment
by De Santis, Roberto A. & Holm-Hadulla, Fédéric
- 2051 Wage bargaining regimes and firms' adjustments to the Great Recession
by Ronchi, Maddalena & di Mauro, Filippo
- 2050 If the Fed sneezes, who catches a cold?
by Dedola, Luca & Rivolta, Giulia & Stracca, Livio
- 2049 Internal devaluation in currency unions: the role of trade costs and taxes
by Petroulakis, Filippos
- 2048 Firm growth in Europe: an overview based on the CompNet labour module
by Fernandez, Cristina & García, Roberto & Lopez-Garcia, Paloma & Marzinotto, Benedicta & Serafini, Roberta & Vanhala, Juuso & Wintr, Ladislav
- 2047 Necessity as the mother of invention: monetary policy after the crisis
by Blinder, Alan S. & Ehrmann, Michael & de Haan, Jakob & Jansen, David-Jan
- 2046 Home sweet home: the home bias in trade in the European Union
by Mika, Alina
- 2045 ECB-Global: introducing ECB's global macroeconomic model for spillover analysis
by Dieppe, Alistair & Georgiadis, Georgios & Ricci, Martino & Van Robays, Ine & van Roye, Björn
- 2044 Volatility spillovers of Federal Reserve and ECB balance sheet expansions to emerging market economies
by Apostolou, Apostolos & Beirne, John
- 2043 Did the crisis permanently scar the Portuguese labour market? Evidence from a Markov-switching Beveridge curve analysis
by Vansteenkiste, Isabel
- 2042 Threshold effects of financial stress on monetary policy rules: a panel data analysis
by van Roye, Björn & Floro, Danvee
- 2041 How does risk flow in the credit default swap market?
by Scheicher, Martin & Peltonen, Tuomas A. & D'Errico, Marco & Battiston, Stefano
- 2040 Fiscal spillovers in the euro area a model-based analysis
by Vetlov, Igor & Attinasi, Maria Grazia & Lalik, Magdalena
- 2039 Macroeconomic effects of secondary market trading
by Neuhann, Daniel
- 2038 Stagnation traps
by Benigno, Gianluca & Fornaro, Luca
- 2037 The time dimension of the links between loss given default and the macroeconomy
by Seidler, Jakub & Konečný, Tomáš & Belyaeva, Aelita & Belyaev, Konstantin
- 2036 Fiscal reaction function and fiscal fatigue: evidence for the euro area
by Checherita-Westphal, Cristina & Žďárek, Václav
- 2035 Safe assets: a review
by Golec, Pascal & Perotti, Enrico
- 2034 The implications of global and domestic credit cycles for emerging market economies: measures of finance-adjusted output gaps
by Grintzalis, Ioannis & Lodge, David & Manu, Ana-Simona
- 2033 The inflation risk premium in the post-Lehman period
by Camba-Méndez, Gonzalo & Werner, Thomas
- 2032 Government guarantees and financial stability
by Carletti, Elena & Leonello, Agnese & Allen, Franklin & Goldstein, Itay
- 2031 How robust is the result that the cost of "leaning against the wind" exceeds the benefit?
by Svensson, Lars E. O.
- 2030 Financial transaction taxes, market composition, and liquidity
by Hoffmann, Peter & Colliard, Jean-Edouard
- 2029 Macro stress testing euro area banks' fees and commissions
by Kok, Christoffer & Pancaro, Cosimo & Mirza, Harun
- 2028 A stochastic forward-looking model to assess the profitability and solvency of European insurers
by Kok, Christoffer & Pancaro, Cosimo & Berdin, Elia
- 2027 Economic crises and the eligiblity for the lender of last resort: evidence from 19th century France
by Jobst, Clemens & Bignon, Vincent
- 2026 A panel VAR analysis of macro-financial imbalances in the EU
by Comunale, Mariarosaria
- 2025 Optimizing policymakers' loss functions in crisis prediction: before, within or after?
by Sarlin, Peter & von Schweinitz, Gregor
- 2024 Global inflation: the role of food, housing and energy prices
by Parker, Miles
- 2023 Starting from a blank page? Semantic similarity in central bank communication and market volatility
by Ehrmann, Michael & Talmi, Jonathan
- 2022 The role of counterparty risk and asymmetric information in the interbank market
by Cappelletti, Giuseppe & Guazzarotti, Giovanni
- 2021 The effect of public investment in Europe: a model-based assessment
by Vetlov, Igor & Ferdinandusse, Marien & de Jong, Jasper & Funda, Josip
- 2020 High frequency trading and fragility
by Cespa, Giovanni & Vives, Xavier
- 2019 The impact of constrained monetary policy on fiscal multipliers on output and inflation
by Bletzinger, Tilman & Lalik, Magdalena
- 2018 Exchange rate prediction redux: new models, new data, new currencies
by Cheung, Yin-Wong & Chinn, Menzie D. & Garcia Pascual, Antonio & Zhang, Yi
- 2017 Inside asset purchase programs: the effects of unconventional policy on banking competition
by Wedow, Michael & Koetter, Michael & Podlich, Natalia
- 2016 Interactions between fiscal multipliers and sovereign risk premium during fiscal consolidation: model based assessment for the euro area
by Lalik, Magdalena
- 2015 Forecasting euro area inflation using targeted predictors: is money coming back?
by Sousa, João & Falagiarda, Matteo
- 2014 The drivers of revenue productivity: a new decomposition analysis with firm-level data
by di Mauro, Filippo & Mion, Giordano & Stöhlker, Daniel
- 2013 Regular versus lump-sum payments in union contracts and household consumption
by Zizza, Roberta & Adamopoulou, Effrosyni
- 2012 Modeling euro area bond yields using a time-varying factor model
by Lo Duca, Marco & Adam, Tomáš
- 2011 Understanding sovereign rating movements in euro area countries
by Pierluigi, Beatrice & Brůha, Jan & Setzer, Ralph & Karber, Moritz
- 2010 The systemic implications of bail-in: a multi-layered network approach
by Kok, Christoffer & Hałaj, Grzegorz & Hüser, Anne-Caroline & Perales, Cristian & van der Kraaij, Anton
- 2009 Securitization and credit quality
by Ongena, Steven & Kara, Alper & Marqués-Ibáñez, David
- 2008 Banks credit and productivity growth
by di Mauro, Filippo & Ottaviano, Gianmarco I.P. & Hassan, Fadi
- 2007 The rational inattention filter
by Matějka, Filip & Wiederholt, Mirko & Maćkowiak, Bartosz
- 2006 Demographics and inflation
by Nickel, Christiane & Bobeica, Elena & Lis, Eliza & Sun, Yiqiao
- 2005 Low inflation and monetary policy in the euro area
by Neri, Stefano & Nobili, Andrea & Conti, Antonio M.
- 2004 Mind the output gap: the disconnect of growth and inflation during recessions and convex Phillips curves in the euro area
by Semmler, Willi & Gross, Marco
- 2003 Exchange rate pass-through in the euro area
by Comunale, Mariarosaria & Kunovac, Davor
- 2002 Changing prices... changing times: evidence for Italy
by Fabiani, Silvia & Porqueddu, Mario
- 2001 Will US inflation awake from the dead? The role of slack and non-linearities in the Phillips curve
by Baumann, Ursel & Albuquerque, Bruno
- 2000 Missing disinflation and missing inflation: the puzzles that aren't
by Jarociński, Marek & Bobeica, Elena
- 1999 The long-term distribution of expected inflation in the euro area: what has changed since the great recession?
by Kenny, Geoff & Dovern, Jonas
- 1998 Inflation anchoring in the euro area
by Speck, Christian
- 1997 Tail co-movement in inflation expectations as an indicator of anchoring
by Natoli, Filippo & Sigalotti, Laura
- 1996 A new indicator of inflation expectations anchoring
by Natoli, Filippo & Sigalotti, Laura
- 1995 Unconventional monetary policy and the anchoring of inflation expectations
by Ciccarelli, Matteo & García, Juan Angel & Montes-Galdón, Carlos
- 1994 Trust, but verify. De-anchoring of inflation expectations under learning and heterogeneity
by Locarno, Alberto & Delle Monache, Davide & Busetti, Fabio & Gerali, Andrea
- 1993 Trade, finance or policies: what drives the cross-border spill-over of business cycles?
by Stracca, Livio & Montinari, Letizia
- 1992 Pricing of bonds and equity when the zero lower bound is relevant
by Kick, Heinrich
- 1991 Below the zero lower bound: a shadow-rate term structure model for the euro area
by Lemke, Wolfgang & Vladu, Andreea Liliana
- 1990 Financial inclusion: what’s it worth?
by Ehrmann, Michael & Ampudia, Miguel
- 1989 Revenue elasticities in euro area countries
by Koester, Gerrit & Priesmeier, Christoph
- 4 On collateral: implications for financial stability and monetary policy
by Corradin, Stefano & Heider, Florian & Hoerova, Marie
- 3 Communication of monetary policy in unconventional times
by Coenen, Günter & Ehrmann, Michael & Gaballo, Gaetano & Hoffmann, Peter & Nakov, Anton & Nardelli, Stefano & Persson, Eric & Strasser, Georg
2016
- 1988 Macroeconomic stabilization, monetary-fiscal interactions, and Europe’s monetary union
by Corsetti, Giancarlo & Dedola, Luca & Jarociński, Marek & Maćkowiak, Bartosz & Schmidt, Sebastian
- 1987 Determinants of sub-sovereign bond yield spreads: the role of fiscal fundamentals and federal bailout expectations
by Beck, Roland & Ferrucci, Gianluigi & Hantzsche, Arno & Rau-Goehring, Matthias
- 1986 A global trade model for the euro area
by Osbat, Chiara & D'Agostino, Antonello & Modugno, Michele
- 1985 The risk-adjusted monetary policy rule
by Schmidt, Sebastian & Nakata, Taisuke
- 1984 Towards more resilient economies: the role of well-functioning economic structures
by Sondermann, David
- 1983 Bank efficiency and regional growth in Europe: new evidence from micro-data
by Belke, Ansgar & Setzer, Ralph & Haskamp, Ulrich
- 1982 The impact of disasters on inflation
by Parker, Miles
- 1981 Capital and labour (mis)allocation in the euro area: some stylized facts and determinants
by Gamberoni, Elisa & Giordano, Claire & Lopez-Garcia, Paloma
- 1980 US-euro area term structure spillovers, implications for central banks
by Nyholm, Ken
- 1979 Correlation changes between the risk-free rate and sovereign yields of euro area countries
by De Santis, Roberto A. & Stein, Michael
- 1978 Mending the broken link: heterogeneous bank lending and monetary policy pass-through
by Altavilla, Carlo & Canova, Fabio & Ciccarelli, Matteo
- 1977 Home bias in bank sovereign bond purchases and the bank-sovereign nexus
by Andreeva, Desislava & Vlassopoulos, Thomas
- 1976 Gradualism and liquidity traps
by Schmidt, Sebastian & Nakata, Taisuke
- 1975 Contagion, spillover and interdependence
by Rigobon, Roberto
- 1974 How exporters set prices: evidence from a large behavioural survey
by Parker, Miles
- 1973 The optimal conduct of central bank asset purchases
by Darracq Pariès, Matthieu & Kühl, Michael
- 1972 Forecast combination for euro area inflation: a cure in times of crisis?
by Hubrich, Kirstin & Skudelny, Frauke
- 1971 Crisis severity and the international trade network
by Endrész, Marianna & Skudelny, Frauke
- 1970 Firm responses to employment subsidies: a regression discontinuity approach to the 2012 Spanish labour market reform
by Gamberoni, Elisa & Gradeva, Katerina & Weber, Sebastian
- 1969 Bank exposures and sovereign stress transmission
by Altavilla, Carlo & Pagano, Marco & Simonelli, Saverio
- 1968 Carry trades and monetary conditions
by Falconio, Andrea
- 1967 The response of asset prices to monetary policy shocks: stronger than thought
by Alessi, Lucia & Kerssenfischer, Mark
- 1966 An inflation-predicting measure of the output gap in the euro area
by Lenza, Michele & Jarociński, Marek
- 1965 Bank interest rate setting in the euro area during the Great Recession
by Camba-Méndez, Gonzalo & Durré, Alain & Mongelli, Francesco Paolo
- 1964 Signals from the government: policy disagreement and the transmission of fiscal shocks
by Cimadomo, Jacopo & Callegari, Giovanni & Ricco, Giovanni
- 1963 Institutions, public debt and growth in Europe
by Moshammer, Edmund & Pierluigi, Beatrice & Masuch, Klaus
- 1962 Multiplex interbank networks and systemic importance: an application to European data
by Aldasoro, Iñaki & Alves, Iván
- 1961 Have FOMC minutes helped markets to predict FED funds rate changes?
by Jung, Alexander
- 1960 Got rejected? Real effects of not getting a loan
by Berg, Tobias
- 1959 Interbank loans, collateral and modern monetary policy
by Wolski, Marcin & van de Leur, Michiel
- 1958 How you export matters: the disassortative structure of international trade
by Joseph, Andreas & Osbat, Chiara
- 1957 Net debt supply shocks in the euro area and the implications for QE
by Blattner, Tobias Sebastian & Joyce, Michael A. S.
- 1956 The ECB's asset purchase programme: an early assessment
by Breckenfelder, Johannes & De Fiore, Fiorella & Andrade, Philippe & Karadi, Peter & Tristani, Oreste
- 1955 Has the exchange rate pass through recently declined in the euro area?
by Özyurt, Selin
- 1954 Credit constraints and the international propagation of US financial shocks
by Hilberg, Björn & Grill, Michael & Metiu, Norbert
- 1953 Animal spirits, fundamental factors and business cycle fluctuations
by Dées, Stéphane & Zimic, Srečko
- 1952 The great moderation in international capital flows: a global phenomenon?
by Schmitz, Martin & McQuade, Peter
- 1951 The effectiveness of non-standard monetary policy measures: evidence from survey data
by Altavilla, Carlo & Giannone, Domenico
- 1950 Is corruption efficiency-enhancing? A case study of nine Central and Eastern European countries
by Gartner, Christine & Giordano, Claire & Lopez-Garcia, Paloma & Gamberoni, Elisa
- 1949 The stock market effects of a securities transaction tax: quasi-experimental evidence from Italy
by Tommasino, Pietro & Cappelletti, Giuseppe & Guazzarotti, Giovanni
- 1948 Advanced economy inflation: the role of global factors
by Mikolajun, Irena & Lodge, David
- 1947 Deciding with judgment
by Manganelli, Simone
- 1946 Real exchange rates and international co-movement: news-shocks and non-tradable goods with complete markets
by Lambrias, Kyriacos
- 1945 Anchoring of inflation expectations in the euro area: recent evidence based on survey data
by Łyziak, Tomasz & Paloviita, Maritta
- 1944 Multi-layered interbank model for assessing systemic risk
by Kok, Christoffer & Montagna, Mattia
- 1943 When shadows grow longer: shadow banking with endogenous entry
by Ari, Anil & Darracq Pariès, Matthieu & Kok, Christoffer & Żochowski, Dawid
- 1942 Policy spillovers and synergies in a monetary union
by Thomas, Carlos & Hurtado, Samuel & Arce, Óscar
- 1941 The role of price and cost competitiveness for intra- and extra-euro area trade of euro area countries
by Tkačevs, Olegs & Christodoulopoulou, Styliani & Bobeica, Elena
- 1940 How competitiveness shocks affect macroeconomic performance across euro area countries
by Staehr, Karsten & Vermeulen, Robert
- 1939 Impact of the asset purchase programme on euro area government bond yields using market news
by De Santis, Roberto A.
- 1938 Bond risk premia, macroeconomic factors and financial crisis in the euro area
by García, Juan Angel & Werner, Sebastian E. V.
- 1937 The invisible hand of the government: “Moral suasion” during the European sovereign debt crisis
by Ongena, Steven & Popov, Alexander & Van Horen, Neeltje
- 1936 Trade in value added: do we need new measures of competitiveness?
by Silgoner, Maria & Ramskogler, Paul & Lommatzsch, Kirsten
- 1935 Assessing the costs and benefits of capital-based macroprudential policy
by Peltonen, Tuomas A. & Gross, Marco & Behn, Markus
- 1934 The BEAR toolbox
by Dieppe, Alistair & van Roye, Björn & Legrand, Romain
- 1933 News and noise in the housing market
by Gazzani, Andrea
- 1932 Credit market competition and liquidity crises
by Carletti, Elena & Leonello, Agnese
- 1931 Networks of value added trade
by Amador, João & Cabral, Sónia
- 1930 Credit spreads, economic activity and fragmentation
by De Santis, Roberto A.
- 1929 A portfolio demand approach for broad money in the euro area
by Jung, Alexander
- 1928 The limits of model-based regulation
by Behn, Markus & Haselmann, Rainer & Vig, Vikrant
- 1927 Violating the law of one price: the role of non-conventional monetary policy
by Corradin, Stefano & Rodriguez-Moreno, Maria
- 1926 Have monetary data releases helped markets to predict the interest rate decisions of the European Central Bank?
by Jung, Alexander
- 1925 Stressed interbank markets: evidence from the European financial and sovereign debt crisis
by Heider, Florian & Garcia-de-Andoain, Carlos & Frutos de Andres, Juan Carlos & Papsdorf, Patrick
- 1924 Pricing sovereign credit risk of an emerging market
by Camba-Méndez, Gonzalo & Serwa, Dobromil & Kostrzewa, Konrad & Marszal, Anna
- 1923 EAGLE-FLI. A macroeconomic model of banking and financial interdependence in the euro area
by Jacquinot, Pascal & Pisani, Massimiliano & Gomes, Sandra & Bokan, Nikola & Gerali, Andrea
- 1922 Global credit risk: world country and industry factors
by Schwaab, Bernd & Koopman, Siem Jan & Lucas, André
- 1921 The real exchange rate and economic growth: revisiting the case using external instruments
by Stracca, Livio & Mileva, Elitza & Habib, Maurizio Michael
- 1920 Making sense of the EU wide stress test: a comparison with the SRISK approach
by Salleo, Carmelo & Homar, Timotej & Kick, Heinrich
- 1919 Liquidity, innovation, and endogenous growth
by Malamud, Semyon & Zucchi, Francesca
- 1918 Collateral damage? On collateral, corporate financing and performance
by Ongena, Steven & Cerqueiro, Geraldo & Roszbach, Kasper
- 1917 Search-based endogenous asset liquidity and the macroeconomy
by Radde, Sören & Cui, Wei
- 1916 Bank capital structure and the credit channel of central bank asset purchases
by Kok, Christoffer & Darracq Pariès, Matthieu & Hałaj, Grzegorz
- 1915 Business, housing and credit cycles
by Rünstler, Gerhard & Vlekke, Marente
- 1914 The effect of bank shocks on firm-level and aggregate investment
by Amador, João & Nagengast, Arne J.
- 1913 The risky steady state and the interest rate lower bound
by Schmidt, Sebastian & Nakata, Taisuke & Hills, Timothy
- 1912 Determinants of euro-denominated corporate bond spreads
by Krylova, Elizaveta
- 1911 Leading indicator properties of corporate bond spreads, excess bond premia and lending spreads in the euro area
by Krylova, Elizaveta
- 1910 Waking up from the American dream: on the experience of young Americans during the housing boom of the 2000s
by Popov, Alexander & Laeven, Luc
- 1909 On domestic demand and export performance in the euro area countries: does export concentration matter?
by Soares Esteves, Paulo & Prades, Elvira
- 1908 Unemployment risk and over-indebtedness
by Du Caju, Philip & Rycx, François & Tojerow, Ilan
- 1907 Estimating the top tail of the wealth distribution
by Vermeulen, Philip
- 1906 The collateral channel of open market operations
by Cassola, Nuno & Koulischer, François
- 1905 Exchange rate forecasting with DSGE models
by Ca' Zorzi, Michele & Kolasa, Marcin & Rubaszek, Michał
- 1904 The housing market, household portfolios and the German consumer
by Muellbauer, John & Geiger, Felix & Rupprecht, Manuel
- 1903 Bank leverage and monetary policy's risk-taking channel: evidence from the United States
by Laeven, Luc & Dell’Ariccia, Giovanni & Suarez, Gustavo A.
- 1902 Export characteristics and output volatility: comparative firm-level evidence for CEE countries
by Chiriacescu, Bogdan & Lalinsky, Tibor & Čede, Urška & Meriküll, Jaanika & Harasztosi, Péter
- 1901 Price drift before U.S. macroeconomic news: private information about public announcements?
by Strasser, Georg & Kurov, Alexander & Sancetta, Alessio & Wolfe, Marketa Halova
- 1900 Toward robust early-warning models: a horse race, ensembles and model uncertainty
by Sarlin, Peter & Holopainen, Markus
- 1899 Monetary policy according to HANK
by Kaplan, Greg & Moll, Benjamin & Violante, Giovanni L.
- 1898 Credit risk spillover between financials and sovereigns in the euro area during 2007-2015
by Vergote, Olivier
- 1897 Restoring rational choice: The challenge of consumer financial regulation
by Campbell, John Y.
- 1896 Dynamic balance sheet model with liquidity risk
by Hałaj, Grzegorz
- 1895 Credit, asset prices and business cycles at the global level
by Dées, Stéphane
- 1894 Sovereign risk and bank risk-taking
by Ari, Anil
- 1893 On the design of data sets for forecasting with dynamic factor models
by Rünstler, Gerhard
- 1892 A lost generation? Education decisions and employment outcomes during the U.S. housing boom-bust cycle of the 2000s
by Popov, Alexander & Laeven, Luc
- 1891 Parsing financial fragmentation in the euro area: a multi-country DSGE perspective
by Darracq Pariès, Matthieu & Jacquinot, Pascal & Papadopoulou, Niki
- 1890 Does slack influence public and private labor market interactions?
by Lamo, Ana & Pérez, Javier J. & Moral-Benito, Enrique
- 1889 Cables, Sharks and Servers: Technology and the Geography of the Foreign Exchange Market
by Mehl, Arnaud & Eichengreen, Barry & Lafarguette, Romain
- 1888 The impact of bank capital on economic activity - evidence from a mixed-cross-section GVAR model
by Kok, Christoffer & Gross, Marco & Żochowski, Dawid
- 1887 Network Dependence in the Euro Area Money Market
by Rünstler, Gerhard
- 1886 Lending-of-last-resort is as lending-of-last-resort does: central bank liquidity provision and interbank market functioning in the euro area
by Manganelli, Simone & Heider, Florian & Hoerova, Marie & Garcia-de-Andoain, Carlos
- 1885 Advances in multivariate back-testing for credit risk underestimation
by Sauer, Stephan & Coppens, François & Mayer, Manuel & Millischer, Laurent & Resch, Florian & Schulze, Klaas