Browsing All of EconStor by Author Roth, Markus


Showing results 1 to 11 of 11
Year of PublicationTitleAuthor(s)
2012Taylor rule cross-checking and selective monetary policy adjustmentRoth, Markus; Bursian, Dirk
2013Optimal policy and taylor rule cross-checking under parameter uncertaintyBursian, Dirk; Roth, Markus
2017The financial market effects of the ECB's asset purchase programsLewis, Vivien; Roth, Markus
2018Interest rate rules under financial dominanceLewis, Vivien; Roth, Markus
2019Uncertainty Shocks and Financial Crisis IndicatorsHristov, Nikolay; Roth, Markus
2019Uncertainty shocks and financial crisis indicatorsHristov, Nikolay; Roth, Markus
2020Partial pooling with cross-country priors: An application to house price shocksRoth, Markus
2021Extremwetterereignisse: Staatshilfe oder private Vorsorge – wer trägt die Kosten?Osberghaus, Daniel; Groß, Christian; Wagner, Gert G.; Offermann, Frank; Duden, Christoph; Schmitt, Jonas; Berlemann, Michael; Asmussen, Jörg; Roth, Markus; Messari-Becker, Lamia; Garbarino, Nicola; Guin, Benjamin; Lee, Jonathan
2021Deleveraging-Potenzial im deutschen Bankensystem und Auswirkungen auf die FinanzstabilitätPelzer, Manuel; Barasinska, Nataliya; Buchholz, Manuel; Friedrich, Sören; Geiger, Sebastian; Hristov, Nikolay; Jamaldeen, Philip; Löffler, Axel; Madjarac, Marcel; Roth, Markus; Silbermann, Leonid; Wong, Lui-Hsian
2021Potential deleveraging in the German banking system and effects on financial stabilityPelzer, Manuel; Barasinska, Nataliya; Buchholz, Manuel; Friedrich, Sören; Geiger, Sebastian; Hristov, Nikolay; Jamaldeen, Philip; Löffler, Axel; Madjarac, Marcel; Roth, Markus; Silbermann, Leonid; Wong, Lui-Hsian
2022Reformperspektiven für die deutsche Altersvorsorge Der Koalitionsvertrag aus rechtsvergleichender Sicht: Von Schweden lernenRoth, Markus