Results 11-20 of 730.
|2000 ||Stock Market Dispersion, Sectoral Shocks, and the German Business Cycle||Döpke, Jörg / Pierdzioch, Christian
|2005 ||Estimating the immediate impact of monetary policy shocks on the exchange rate and other asset prices in Hungary||Rezessy, András
|2008 ||How resilient is the German banking system to macroeconomic shocks?||Dovern, Jonas / Meier, Carsten-Patrick / Vilsmeier, Johannes
|2006 ||Credit growth in Central and Eastern Europe: Convergence or boom?||Kiss, Gergely / Nagy, Márton / Vonnák, Balázs
|2002 ||The processing of non-anticipated information in financial markets: Analyzing the impact of surprises in the employment report||Hautsch, Nikolaus / Hess, Dieter
|2004 ||The Good, the bad, and the ugly: an inquiry into the causes and nature of credit cycles||Matsuyama, Kiminori
|2011 ||In search for yield? New survey-based evidence on bank risk taking||Buch, Claudia M. / Eickmeier, Sandra / Prieto, Esteban
|2008 ||Price adjustment to news with uncertain precision||Hautsch, Nikolaus / Hess, Dieter E. / Müller, Christoph
|2007 ||Financial stability and monetary policy: a framework||Illing, Gerhard
|2008 ||Large-scale disasters and the insurance industry||Krämer, Walter / Schich, Sebastian T.