Browsing All of EconStor by Author Scharnagl, Michael


Showing results 1 to 20 of 22
 next >
Year of PublicationTitleAuthor(s)
1996Geldmengenaggregate unter Berücksichtigung struktureller Veränderungen an den FinanzmärktenScharnagl, Michael
1996Monetary aggregates with special reference to structural changes in the financial marketsScharnagl, Michael
2004How effective are automatic stabilisers? Theory and empirical results for Germany and other OECD countriesTödter, Karl-Heinz; Scharnagl, Michael
2007Simple interest rate rules with a role for moneyScharnagl, Michael; Gerberding, Christina; Seitz, Franz
2007Reconsidering the role of monetary indicators for euro area inflation from a Bayesian perspective using group inclusion probabilitiesScharnagl, Michael; Schumacher, Christian
2010Loan supply in Germany during the financial crisisBusch, Ulrike; Scharnagl, Michael; Scheithauer, Jan
2010Finding good predictors for inflation by shotgun stochastic searchScharnagl, Michael; Schumacher, Christian
2011Household's portfolio structure in Germany - analysis of financial accounts data 1959-2009Ramb, Fred; Scharnagl, Michael
2014Money growth and consumer price inflation in the euro area: A wavelet analysisMandler, Martin; Scharnagl, Michael
2014Inflation, deflation, and uncertainty: What drives euro area option-implied inflation expectations and are they still anchored in the sovereign debt crisis?Scharnagl, Michael; Stapf, Jelena
2015The relationship of simple sum and Divisia monetary aggregates with real GDP and inflation: a wavelet analysis for the USScharnagl, Michael; Mandler, Martin
2016Heterogeneity in euro-area monetary policy transmission: Results from a large multi-country BVAR modelMandler, Martin; Scharnagl, Michael; Volz, Ute
2016Heterogeneity in euro area monetary policy transmission: results from a large multi-country BVAR modelScharnagl, Michael; Mandler, Martin; Volz, Ute
2018Financial cycles in euro area economies: A cross-country perspectiveKunovac, Davor; Mandler, Martin; Scharnagl, Michael
2018Real and financial cycles in EU countries: Stylised facts and modelling implicationsRünstler, Gerhard; Balfoussia, Hiona; Burlon, Lorenzo; Buss, Ginters; Comunale, Mariarosaria; De Backer, Bruno; Dewachter, Hans; Guarda, Paolo; Haavio, Markus; Hindrayanto, Irma; Iskrev, Nikolai Ivanov; Jaccard, Ivan; Kulikov, Dmitry; Kunovac, Davor; Lenarcic, Crt; Lequien, Matthieu; Lozej, Matija; Mandler, Martin; Papageorgiou, Dimitris; Pedersen, Jesper; Perez-Quiros, Gabriel; Rannenberg, Ansgar; Rots, Eyno; Scharnagl, Michael; Welz, Peter
2019Financial cycles across G7 economies: A view from wavelet analysisMandler, Martin; Scharnagl, Michael
2019Bank loan supply shocks and alternative financing of non-financial corporations in the euro areaMandler, Martin; Scharnagl, Michael
2020Estimating the effects of the Eurosystem's asset purchase programme at the country levelMandler, Martin; Scharnagl, Michael
2020Bank loan supply shocks and alternative financing of non‐financial corporations in the euro areaMandler, Martin; Scharnagl, Michael
2021Financial Cycles in Euro Area Economies: A Cross‐Country Perspective Using Wavelet AnalysisMandler, Martin; Scharnagl, Michael