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Content
2024
- 214 Corporate green pledges
by Bauer, Michael & Huber, Daniel & Offner, Eric & Renkel, Marlene & Wilms, Ole
- 213 The Federal Reserve's evolving interpretation and implementation of its mandate
by Orphanides, Athanasios
- 212 Do financial advisors have different beliefs than lay people?
by Rumpf, Matthias & Haliassos, Michael & Kosyakova, Tetyana & Otter, Thomas
- 211 Wealth accumulation: The role of others
by Chaliasos, Michael
- 210 Rethinking the stock market participation puzzle: A qualitative approach
by Duraj, Kamila & Grunow, Daniela & Chaliasos, Michael & Laudenbach, Christine & Siegel, Stephan
- 209 Policy rules and the inflation surge: The case of the ECB
by Tatar, Balint & Wieland, Volker
- 208 Helmut Schlesinger: Wegbereiter und Garant der deutschen Geld- und Stabilitätspolitik wird 100
by Mink, Reimund
- 207 Solving and analyzing DSGE models in the frequency domain
by Meyer-Gohde, Alexander
- 206 Sudden stop: Supply and demand shocks in the German natural gas market
by Güntner, Jochen & Reif, Magnus & Wolters, Maik H.
- 205 Multivariate macroeconomic forecasting: From DSGE and BVAR to artificial neural networks
by Tänzer, Alina
- 204 The effectiveness of central bank purchases of long-term treasury securities: A neural network approach
by Tänzer, Alina
- 203 A present value concept for measuring welfare
by Rösl, Gerhard
- 202 Staatsverschuldung und Schuldenbremse
by Mink, Reimund & Tödter, Karl-Heinz
- 201 Taylor rules and the inflation surge: The case of the Fed
by Tatar, Balint & Wieland, Volker
- 200 Enhancing resilience with natural growth targeting
by Orphanides, Athanasios
- 199 Central bank losses and commercial bank profits: Unexpected and unfair?
by Jost, Thomas & Mink, Reimund
- 198 Central banks sowing the seeds for a green financial sector? NGFS membership and market reactions
by Fischer, Lion & Rapp, Marc Steffen & Zahner, Johannes
2023
- 197 Consumption and account balances in crises: Have we neglected cognitive load?
by Assenza, Tiziana & Cardaci, Alberto & Chaliasos, Michael
- 196 Unintended consequences of QE: Real estate prices and financial stability
by Berg, Tobias & Haselmann, Rainer & Kick, Thomas & Schreiber, Sebastian
- 195 Solving linear DSGE models with structure-preserving doubling methods
by Huber, Johannes & Meyer-Gohde, Alexander & Saecker, Johanna
- 194 Whatever it takes to understand a central banker: Embedding their words using neural networks
by Baumgärtner, Martin & Zahner, Johannes
- 193 Numerical stability analysis of linear DSGE models: Backward errors, forward errors and condition numbers
by Meyer-Gohde, Alexander
- 192 On the importance of central banks watchers: The SNB and its Watchers Conference
by Issing, Otmar
- 191 Climate change and carbon policy: A story of optimal green macroprudential and capital flow management
by Le, Anh H.
- 190 The forward guidance trap
by Orphanides, Athanasios
- 189 Sticky information and the Taylor principle
by Meyer-Gohde, Alexander & Tzaawa-Krenzler, Mary
- 188 Whose inflation rates matter most? A DSGE model and machine learning approach to monetary policy in the Euro area
by Stempel, Daniel & Zahner, Johannes
- 187 Transition risk uncertainty and robust optimal monetary policy
by Dück, Alexander & Le, Anh H.
- 186 Uncertainty, politics, and crises: The case for cash
by Rösl, Gerhard & Seitz, Franz
- 185 Zum Problem inflationsbedingter Liquiditätsrestriktionen bei der Immobilienfinanzierung
by Gubitz, Andrea & Tödter, Karl-Heinz & Ziebarth, Gerhard
- 184 Uncertainty about the war in Ukraine: Measurement and effects on the German business cycle
by Grebe, Moritz & Kandemir, Sinem & Tillmann, Peter
- 183 Has the reaction function of the European Central Bank changed over time?
by Tatar, Balint
- 182 Solving linear DSGE models with Bernoulli iterations
by Meyer-Gohde, Alexander
- 181 Fifty shades of QE: Robust evidence
by Fabo, Brian & Jancoková, Martina & Kempf, Elisabeth & Pástor, éLuboés
- 180 Robust frequency-based monetary policy rules
by Dück, Alexander & Verona, Fabio
- 179 The Federal Reserve's output gap: The unreliability of real-time realiability tests
by Quast, Josefine & Wolters, Maik H.
- 178 The macroeconomic effects of global supply chain disruptions
by Finck, David & Tillmann, Peter
2022
- 177 Ensemble MCMC sampling for robust Bayesian inference
by Böhl, Gregor
- 176 Perceptions about monetary policy
by Bauer, Michael D. & Pflueger, Carolin E. & Sunderam, Adi
- 175 Estimation and forecasting using mixed-frequency DSGE models
by Meyer-Gohde, Alexander & Shabalina, Ekaterina
- 174 Solving linear DSGE models with Newton methods
by Meyer-Gohde, Alexander & Saecker, Johanna
- 173 Zur Verfassungsmäßigkeit der Veranschlagung globaler Minderausgaben
by Siekmann, Helmut
- 172 Inflation, price stability, and monetary policy: On the legality of inflation targeting by the Eurosystem
by Siekmann, Helmut
- 171 Government bond rates and interest expenditure of large euro area member states: A scenario analysis
by Grimm, Veronika & Nöh, Lukas & Wieland, Volker
- 170 A new age of uncertainty? Implications for monetary policy
by Weidmann, Jens
- 169 Household expectations and dissent among policymakers
by Grebe, Moritz & Tillmann, Peter
- 168 How to limit the spillover from an inflation surge to inflation expectations
by Dräger, Lena & Lamla, Michael & Pfajfar, Damjan
- 167 On the stabilizing role of cash for societies
by Rösl, Gerhard & Seitz, Franz
- 166 A potential sudden stop of energy imports from Russia: Effects on energy security and economic output in Germany and the EU
by Berger, Eva M. & Bialek, Sylwia & Garnadt, Niklas & Grimm, Veronika & Other, Lars & Salzmann, Leonard & Schnitzer, Monika & Truger, Achim & Wieland, Volker
- 165 A reassessment of monetary policy surprises and high-frequency identification
by Bauer, Michael D. & Swanson, Eric T.
2021
- 164 Reducing sovereign debt levels in the post-Covid Eurozone with a simple deficit rule
by Jost, Thomas & Tödter, Karl-Heinz
- 163 Interest rate skewness and biased beliefs
by Bauer, Michael & Chernov, Mikhail
- 162 Technological growth and hours in the long run: Theory and evidence
by Reif, Magnus & Tesfaselassie, Mewael F. & Wolters, Maik H.
- 161 Wealth inequality: Opportunity or unfairness?
by Haliassos, Michael & Jansson, Thomas & Karabulut, Yigitcan
- 160 Classification of monetary and fiscal dominance regimes using machine learning techniques
by Hinterlang, Natascha & Hollmayr, Josef
- 159 The decline in euro area inflation and the choice of policy strategy
by Wieland, Volker
- 158 Rising temperatures, falling ratings: The effect of climate change on sovereign creditworthiness
by Agarwala, Matthew & Burke, Matt & Klusak, Patrycja & Kraemer, Moritz & Mohaddes, Kamiar
- 157 Collateral framework: Liquidity premia and multiple equilibria
by Lengwiler, Yvan & Orphanides, Athanasios
- 156 Rational vs. irrational beliefs in a complex world
by Böhl, Gregor & Hommes, Cars H.
- 155 The Fed's response to economic news explains the "Fed information effect"
by Bauer, Michael D. & Swanson, Eric T.
- 154 On the accuracy of linear DSGE solution methods and the consequences for log-normal asset pricing
by Meyer-Gohde, Alexander
- 153 The hockey stick Phillips curve and the zero lower bound
by Böhl, Gregor & Lieberknecht, Philipp
- 152 Fixed exchange rate - a friend or foe of labor cost adjustments?
by Milivojevic, Lazar & Tatar, Balint
- 151 Designing a European Monetary Fund: What role for the IMF?
by Jost, Thomas & Seitz, Franz
- 150 Cash and crises: No surprises by the virus
by Rösl, Gerhard & Seitz, Franz
- 149 Endogenous growth, skill obsolescence and output hysteresis in a New Keynesian model with unemployment
by Lechthaler, Wolfgang & Tesfaselassie, Mewael F.
- 148 Efficient solution and computation of models with occasionally binding constraints
by Böhl, Gregor
- 147 Fifty shades of QE: Conflicts of interest in economic research
by Fabo, Brian & Jančoková, Martina & Kempf, Elisabeth & Pástor, Luboš
- 146 Dynamics and synchronization of global equilibrium interest rates
by Beyer, Robert & Milivojevic, Lazar
2020
- 145 The German Federal Constitutional Court ruling and the European Central Bank's strategy
by Feld, Lars P. & Wieland, Volker
- 144 Bayesian estimation of DSGE models with Hamiltonian Monte Carlo
by Farkas, Mátyás & Tatar, Balint
- 143 US business cycle dynamics at the zero lower bound
by Böhl, Gregor & Strobel, Felix
- 142 A structural investigation of quantitative easing
by Böhl, Gregor & Goy, Gavin & Strobel, Felix
- 141 Ein SIRD-Modell zur Infektionsdynamik mit endogener Behandlungskapazität und Lehren für Corona-Statistiken
by Tödter, Karl-Heinz
- 140 The ruling of the Federal Constitutional Court concerning the public sector purchase program: A practical way forward
by Siekmann, Helmut & Wieland, Volker
- 139 Verfahren zum Anleihekaufprogramm der EZB
by Wieland, Volker
- 138 Household finance
by Gomes, Francisco J. & Haliassos, Michael & Ramadorai, Tarun
2019
- 137 (Un)expected monetary policy shocks and term premia
by Kliem, Martin & Meyer-Gohde, Alexander
- 136 Informative social interactions
by Arrondel, Luc & Calvo-Pardo, Hector & Giannitsarou, Chryssi & Haliassos, Michael
- 135 Perceived wealth, cognitive sophistication and behavioral inattention
by Assenza, Tiziana & Cardaci, Alberto & Delli Gatti, Domenico
- 134 The Asset Purchase Programmes of the ESCB - an interdisciplinary evaluation
by Siekmann, Helmut
- 133 Reliable real-time output gap estimates based on a modified Hamilton filter
by Quast, Josefine & Wolters, Maik H.
- 132 Global financial cycles since 1880
by Potjagailo, Galina & Wolters, Maik H.
- 131 On the macroeconomic and fiscal effects of the Tax Cuts and Jobs Act
by Lieberknecht, Philipp & Wieland, Volker
- 130 Regulating virtual currencies
by Hofert, Eduard
2018
- 129 How do consumers adapt to a new environment in their economic forecasting? Evidence from the German reunification
by Goldfayn-Frank, Olga & Wohlfart, Johannes
- 128 How do expectations about the macroeconomy affect personal expectations and behavior?
by Roth, Christopher & Wohlfart, Johannes
- 127 Financial literacy externalities
by Chaliasos, Michael & Jansson, Thomas & Karabulut, Yigitcan
- 126 The government spending multiplier, fiscal stress and the zero lower bound
by Strobel, Felix
- 125 Generalized exogenous processes in DSGE: A Bayesian approach
by Meyer-Gohde, Alexander & Neuhoff, Daniel
- 124 The boundaries of central bank independence: Lessons from unconventional times
by Orphanides, Athanasios
- 123 Zinsen, Effektivpreise und Lebenskosten: Ein Beitrag zur Konstruktion eines intertemporalen Preisindex
by Tödter, Karl-Heinz & Ziebarth, Gerhard
- 122 Legal tender in the euro area
by Siekmann, Helmut
- 121 How the baby boomers' retirement wave distorts model-based output gap estimates
by Wolters, Maik Hendrik
2017
- 120 Die Einstandspflicht der Bundesrepublik Deutschland für die Deutsche Bundesbank und die Europäische Zentralbank
by Siekmann, Helmut
- 119 Monetary policy and speculative stock markets
by Boehl, Gregor
- 118 Can taxation predict US top-wealth share dynamics?
by Böhl, Gregor & Fischer, Thomas
- 117 Why MREL won't help much
by Tröger, Tobias
- 116 Too complex to work: A critical assessment of the bail-in tool under the European bank recovery and resolution regime
by Tröger, Tobias
- 115 How to normalize monetary policy in the Euro area
by Beck, Guenter W. & Wieland, Volker
- 114 Model uncertainty in macroeconomics: On the implications of financial frictions
by Binder, Michael & Lieberknecht, Philipp & Quintana, Jorge & Wieland, Volker
- 113 The impact of growth on unemployment in a low vs. a high inflation environment
by Tesfaselassie, Mewael F. & Wolters, Maik
- 112 Doing away with cash? The welfare costs of abolishing cash
by Rösl, Gerhard & Seitz, Franz & Tödter, Karl-Heinz
- 111 Capital injection to banks versus debt relief to households
by Yoo, Jinhyuk
- 110 Instability, imprecision and inconsistent use of equilibrium real interest rate estimates
by Beyer, Robert & Wieland, Volker
2016
- 109 Replacing or supplementing the euro in member states whose currency is the euro
by Siekmann, Helmut
- 108 Restricting the use of cash in the European Monetary Union
by Siekmann, Helmut
- 107 New methods for macro-financial model comparison and policy analysis
by Wieland, Volker & Afanasyeva, Elena & Kuete, Meguy & Yoo, Jinhyuk
- 106 Konstruktionsfehler bei der Einlagensicherung auf EU-Ebene
by Siekmann, Helmut
- 105 Fiscal implications of central bank balance sheet policies
by Orphanides, Athanasios
- 104 Preis- und Finanzstabilität: Der Primat der Politik, der rechtliche Rahmen und das "ökonomische Gesetz"
by Siekmann, Helmut
- 103 Finding the equilibrium real interest rate in a fog of policy deviations
by Taylor, John B. & Wieland, Volker
- 102 Forward guidance and "lower for longer": The case of the ECB
by Bletzinger, Tilman & Wieland, Volker
- 101 Ziele, Aufgaben und Befugnisse des Europäischen Systems der Zentralbanken
by Siekmann, Helmut
- 100 Schätzung des mittelfristigen Gleichgewichtszinses in den Vereinigten Staaten, Deutschland und dem Euro-Raum mit der Laubach-Williams-Methode
by Beyer, Robert C. M. & Wieland, Volker
2015
- 99 Exit, exclusion, and parallel currencies in the euro area
by Siekmann, Helmut
- 98 Stellungnahme für die öffentliche Anhörung der Verfassungskommission des Landtags Nordrhein-Westfalen zur "Schuldenbremse"
by Siekmann, Helmut
- 97 Information, credit, and organization
by Liberti, José María & Seru, Amit & Vig, Vikrant
- 96 Rechtsgrundlagen für die Vereinbarkeit von Finanzhilfen für Kreditinstitute mit dem Beihilferecht der EU im Rahmen der Finanzmarktkrise
by Tuschl, Patrick
- 95 Fear of liftoff: Uncertainty, rules and discreation in monetary policy normalization
by Orphanides, Athanasios
- 94 Aggregate and distributional effects of increasing taxes on top income earners
by Brüggemann, Bettina & Yoo, Jinhyuk
- 93 Regulatory influence on market conditions in the banking union: The cases of macro-prudential instruments and the bail-in tool
by Tröger, Tobias H.
- 92 How organizational hierarchy affects information production
by Skrastins, Janis & Vig, Vikrant
- 91 Regulating deferred incentive pay
by Hoffmann, Florian & Inderst, Roman & Opp, Marcus
- 90 The legality of outright monetary transactions (OMT) of the European system of central banks
by Siekmann, Helmut
- 89 The legal framework for the European system of central banks
by Siekmann, Helmut
- 88 Financial literacy and savings account returns
by Deuflhard, Florian & Georgarakos, Dimitris & Inderst, Roman
- 87 A theory of the boundaries of banks with implications for financial integration and regulation
by Fecht, Falko & Inderst, Roman & Pfeil, Sebastian
- 86 The political economy of bank bailouts
by Behn, Markus & Haselmann, Rainer & Kick, Thomas & Vig, Vikrant
2014
- 85 Lending standards, credit booms and monetary policy
by Afanasyeva, Elena & Güntner, Jochen
- 84 Are rules and boundaries sufficient to limit harmful central bank discretion? Lessons from Europe
by Orphanides, Athanasios
- 83 How special are they? Targeting systemic risk by regulating shadow banking
by Tröger, Tobias H.
- 82 The limits of model-based regulation
by Behn, Markus Wilhelm & Haselmann, Rainer & Vig, Vikrant
- 81 Is there a threat of self-reinforcing deflation in the Euro area? A view through the lens of the Phillips curve
by Wieland, Volker & Wolters, Maik
- 80 Der makroprudenzielle Komplex: der Prozess, das Schloss, das Urteil
by Remsperger, Hermann
- 79 What Happened in Cyprus? The Economic Consequences of the Last Communist Government in Europe
by Orphanides, Athanasios
- 78 On the Conditional Effects of IMF Loan Program Participation on Output Growth
by Binder, Michael & Bluhm, Marcel
- 77 Zur Offenlegung der Bezüge von Sparkassenführungskräften im Internet
by Siekmann, Helmut
2013
- 76 Financial regulation and supervision across business lines in the United States: Financial holding companies post Gramm-Leach-Bliley Act
by Yoo, Y. Emilie
- 75 Is monetary policy overburdened?
by Orphanides, Athanasios
- 74 Estimating the European Central Bank's "Extended Period of Time"
by Bletzinger, Tilman & Wieland, Volker
- 73 The Single Supervisory Mechanism - Panacea or Quack Banking Regulation? Preliminary assessment of the evolving regime for the prudential supervision of banks with ECB involvement
by Tröger, Tobias
- 72 Dealing with a liquidity trap when government debt matters: Optimal time-consistent monetary and fiscal policy
by Burgert, Matthias & Schmidt , Sebastian
- 71 The European Central Bank’s outright monetary transactions and the Federal Constitutional Court of Germany
by Siekmann, Helmut & Wieland, Volker
- 70 Atypical behavior of credit: Evidence from a monetary VAR
by Afanasyeva, Elena
- 69 Konzernverantwortung in der aufsichtsunterworfenen Finanzbranche
by Tröger, Tobias
- 68 Fiscal consolidation strategy: An update for the budget reform proposal of march 2013
by Cogan, John F. & Taylor, John B. & Wieland, Volker & Wolters, Maik Hendrik
2012
- 67 Monetary theory and monetary policy: Reflections on the development over the last 150 years
by Issing, Otmar & Wieland, Volker
- 66 Surprising comparative properties of monetary models: Results from a new model database
by Taylor, John B. & Wieland, Volker
- 65 Missachtung rechtlicher Vorgaben des AEUV durch die Mitgliedstaaten und die EZB in der Schuldenkrise
by Siekmann, Helmut
- 64 Die Legende von der verfassungsrechtlichen Sonderstellung des "anonymen" Kapitaleigentums
by Siekmann, Helmut
- 63 On the importance of sectoral and regional shocks for price setting
by Beck, Guenter W. & Hubrich, Kirstin & Marcellino, Massimiliano
- 62 Forecasting and policy making
by Wieland, Volker & Wolters, Maik Hendrik
- 61 Fiscal consolidation strategy
by Cogan, John F. & Taylor, John B. & Wieland, Volker & Wolters, Maik Hendrik
- 60 The changing dynamics of US inflation persistence: A quantile regression approach
by Tillmann, Peter & Wolters, Maik Hendrik
- 59 Evaluating point and density forecasts of DSGE models
by Wolters, Maik Hendrik
- 58 Capital inflows and asset prices: Evidence from emerging Asia
by Tillmann, Peter
- 57 Complexity and monetary policy
by Orphanides, Athanasios & Wieland, Volker
- 56 (Un)anticipated monetary policy in a DSGE model with a shadow banking system
by Verona, Fabio & Martins, Manuel M. F. & Drumond, Inês
- 55 Lumpy investment in sticky information general equilibrium
by Verona, Fabio
- 54 Organizational choices of banks and the effective supervision of transnational financial institutions
by Tröger, Tobias
- 53 Optimal monetary and fiscal policy with a zero bound on nominal interest rates
by Schmidt, Sebastian
- 52 The new keynesian approach to dynamic general equilibrium modeling: Models, methods, and macroeconomic policy evaluation
by Schmidt, Sebastian & Wieland, Volker
- 51 The competition effect in business cycles
by Lewis, Vivien & Stevens, Arnoud
- 50 Optimal monetary policy and firm entry
by Lewis, Vivien
- 49 A new comparative approach to macroeconomic modeling and policy analysis
by Wieland, Volker & Cwik, Tobias & Müller, Gernot J. & Schmidt, Sebastian & Wolters, Maik Hendrik
2011
- 48 Die rechtliche Regulierung öffentlicher Banken in Deutschland
by Siekmann, Helmut
- 47 Die Europäisierung der Finanzmarktaufsicht
by Siekmann, Helmut
- 46 Asset pricing under rational learning about rare disasters
by Koulovatianos, Christos & Wieland, Volker
- 45 Law and economics of the monetary union
by Siekmann, Helmut
- 44 On a fundamental reorganisation of the Landesbanks and savings banks sector in Germany
by Hilgert, Heinz & Krahnen, Jan Pieter & Merl, Günther & Siekmann, Helmut
- 43 Die Bankenabgabe in Deutschland - ein geeignetes Instrument zur Prävention von Finanzkrisen?
by Siekmann, Helmut
- 42 Streitschrift für eine grundlegende Neuordnung des Sparkassen- und Landesbankensektors in Deutschland
by Hilgert, Heinz & Krahnen, Jan Pieter & Merl, Günther & Siekmann, Helmut
2010
2009
- 36 Misselling through agents
by Inderst, Roman & Ottaviani, Marco
- 35 Misselling (financial) products: The limits for internal compliance
by Inderst, Roman
- 34 Financing a portfolio of projects
by Inderst, Roman & Müller, Holger & Münnich, Felix
- 33 Innovation, endogenous overinvestment, and incentive pay
by Inderst, Roman & Klein, Manuel
- 32 "Irresponsible lending" with a better informed lender
by Inderst, Roman
- 31 Bank capital structure and credit decisions
by Inderst, Roman & Müller, Holger
- 30 Early-stage financing and firm growth in new industries
by Inderst, Roman & Müller, Holger
- 29 CEO replacement under private information
by Inderst, Roman & Müller, Holger
- 27 Loan origination under soft- and hard-information lending
by Inderst, Roman
- 26 Stabilisierung der WestLB AG durch Garantien des Landes NRW: Stellungnahme für die öffentliche Anhörung des Haushalts- und Finanzausschusses des Landtags Nordrhein-Westfalen am 29. Oktober 2009
by Siekmann, Helmut
- 25 Die Neuordnung der Finanzmarktaufsicht
by Siekmann, Helmut
- 24 Die Schaffung von Einrichtungen der Finanzaufsicht auf EU-Ebene: Stellungnahme zu dem Vorschlag der Sachverständigengruppe unter dem Vorsitz von Jacques de Larosière
by Siekmann, Helmut
- 23 Aktienrecht zwischen börsen- und kapitalmarktorientiertem Ansatz
by Döge, Melanie & Jobst, Stefan
- 22 Cross-country evidence on the relation between equity prices and the current account
by Berg, Tim Oliver
- 21 The risk of deflation
by Gerlach, Stefan
- 20 On the sustainability of currency boards: Evidence from Argentina and Hong Kong
by Ho, Chun-Yu & Ho, Wai-Yip Alex
- 19 Stellungnahme für die öffentliche Anhörung des Ausschusses für Wirtschaft, Mittelstand und Energie und des Haushalts- und Finanzausschusses des Landtags Nordrhein-Westfalen: Keine Hilfe für Banken ohne einen neuen Ordnungsrahmen für die Finanzmärkte
by Siekmann, Helmut
2008
2007