Browsing All of EconStor by Author Kremer, Manfred


Showing results 1 to 11 of 11
Year of PublicationTitleAuthor(s)
1999Die Kapitalmarktzinsen in Deutschland und den USA: Wie eng ist der Zinsverbund? Eine Anwendung der multivariaten KointegrationsanalyseKremer, Manfred
2006Public debt and long-term interest rates: the case of Germany, Italy and the USAPaesani, Paolo; Strauch, Rolf; Kremer, Manfred
2012CISS - a composite indicator of systemic stress in the financial systemHolló, Dániel; Kremer, Manfred; Lo Duca, Marco
2013Melting down: Systemic financial instability and the macroeconomyHartmann, Philipp; Hubrich, Kirstin; Kremer, Manfred; Tetlow, Robert J.
2018Beyond spreadsmeasuring sovereign market stress in the euro areaGarcia de Andoain, Carlos; Kremer, Manfred
2019Financial integration in Europe through the lens of composite indicatorsHoffmann, Peter; Kremer, Manfred; Zaharia, Sonia
2021Measuring Systemic Financial Stress and its Impact on the MacroeconomyKremer, Manfred; Chavleishvili, Sulkhan
2021The risk management approach to macro-prudential policyChavleishvili, Sulkhan; Engle, Robert F.; Fahr, Stephan; Kremer, Manfred; Manganelli, Simone; Schwaab, Bernd
2021A risk management perspective on macroprudential policyChavleishvili, Sulkhan; Fahr, Stephan; Kremer, Manfred; Manganelli, Simone; Schwaab, Bernd
2023Measuring systemic financial stress and its risks for growthChavleishvili, Sulkhan; Kremer, Manfred
2023Quantifying financial stability trade-offs for monetary policy: A quantile VAR approachChavleishvili, Sulkhan; Kremer, Manfred; Lund-Thomsen, Frederik