Suche im EconStor Index

Filter hinzufügen:

Benutzen Sie Filter um Ihre Ergebnisse zu verfeinern.


Ergebnisse 571-580 von 708.
ErscheinungsjahrTitelAutor:innen
2022Optimal trend inflation, misallocation and the pass-through of labour costs to pricesSantoro, Sergio; Viviano, Eliana
2021Monetary policy in a low interest rate environment: Reversal rate and risk-takingHeider, Florian; Leonello, Agnese
2021Tracking global economic uncertainty: Implications for the euro areaBobasu, Alina; Geis, André; Quaglietti, Lucia; Ricci, Martino
2020Effects of state-dependent forward guidance, large-scale asset purchases and fiscal stimulus in a low-interest-rate environmentCoenen, Günter; Montes-Galdon, Carlos; Smets, Frank
2020The international dimension of an incomplete EMUIoannou, Demosthenes; Pagliari, Maria Sole; Stracca, Livio
2022Medium-term investment responses to activity shocks: The role of corporate debtBarrela, Rodrigo; López-García, Paloma; Setzer, Ralph
2022LOLR policies, banks' borrowing capacities and funding structuresCorradin, Stefano; Sundaresan, Suresh M.
2021Asset encumbrance in euro area banks: Analysing trends, drivers and prediction properties for individual bank crisesBerthonnaud, Pierre; Cesati, Enrico; Drudi, Maria Ludovica; Jager, Kirsten; Kick, Heinrich; Lanciani, Marcello; Schneider, Ludwig; Schwarz, Claudia; Siakoulis, Vasileios; Vroege, Robert
2022Transition versus physical climate risk pricing in European financial markets: A text-based approachBua, Giovanna; Kapp, Daniel; Ramella, Federico; Rognone, Lavinia
2020The effect of possible EU diversification requirements on the risk of banks' sovereign bond portfoliosCraig, Ben R.; Giuzio, Margherita; Paterlini, Sandra