Contact information of European Central Bank
Serial Information
Description: Our Working Paper Series (WPS) disseminates economic research relevant to the various tasks and functions of the ECB, and provides a conceptual and empirical basis for policy-making. The Working Papers constitute �work in progress�. They are published to stimulate discussion and contribute to the advancement of our knowledge of economic matters. They are addressed to experts, so readers should be knowledgeable in economics.
Series handle: RePEc:ecb:ecbwps
Citations RSS feed: at CitEc
Impact factors
Access and download statisticsTop item:
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:ecb:ecbwps. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Official Publications (email available below). General contact details of provider: https://edirc.repec.org/data/emieude.html .
Content
2025
- 20250 Supply chain decoupling in green products: a granular input-output analysis
by Attinasi, Maria Grazia & Boeckelmann, Lukas & Martins, Bernardo De Castro & Meunier, Baptiste & Borin, Alessandro & Conteduca, Francesco Paolo & Mancini, Michele
- 3164 The climate-biodiversity-pollution nexus: the pricing of environmental credit risks for European
by Hirschbühl, Dominik & Ceglar, Andrej & Emambakhsh, Tina & Pasqua, Carlo & Cojoianu, Theodor & Qi, Yifan & Rho, Caterina & Hu, Elsie & Petracco, Marco & Biganzoli, Fabrizio & de Jager, Alfred & Herrero, Laura Garcia & Mandrici, Andrea
- 3163 Misestimating house values: consequences for household finance
by Corradin, Stefano & Fillat, José L. & Vergara-Alert, Carles
- 3162 Asset prices, wealth inequality, and welfare: safe assets as a solution
by Hui, Xitong
- 3161 Banks’ regulatory risk tolerance
by Ponte Marques, Aurea & Juselius, Mikael & Tarashev, Nikola
- 3160 Estimating the natural rate of interest in a macro-finance yield curve model
by Brand, Claus & Goy, Gavin & Lemke, Wolfgang
- 3159 Global or regional safe assets: evidence from bond substitution patterns
by Nenova, Tsvetelina
- 3158 Inflation narratives and expectations
by Trebbi, Giovanni
- 3157 Monetary transmission with frequent policy events
by Altavilla, Carlo & Gürkaynak, Refet S. & Laeven, Luc & Kind, Thilo
- 3156 Inflation risk and heterogeneous trading down
by Domenech Palacios, Mar
- 3155 Walking the talk? Green politicians and pollution patterns
by Koetter, Michael & Popov, Alexander
- 3154 Labor supply response to windfall gains
by Georgarakos, Dimitris & Jappelli, Tullio & Kenny, Geoff & Pistaferri, Luigi
- 3153 The fiscal sources of euro area inflation through the lens of the Bernanke-Blanchard model
by Bonam, Dennis & Checherita-Westphal, Cristina & Pacheco, Mariana Montserrat Cerra
- 3151 Investment funds and the monetary-macroprudential policy interplay
by Hodula, Martin & Mimun, Anisa Tiza
- 3150 Monetary policy transmission to investment: evidence from a survey on enterprise finance
by Ferrando, Annalisa & Lamboglia, Sara & Offner, Eric
- 3149 Joining forces: why banks syndicate credit
by Ongena, Steven & Osberghaus, Alex & Schepens, Glenn
- 3148 A machine learning approach to real time identification of turning points in monetary aggregates M1 and M3
by Lampe, Max & Adalid, Ramón
- 3147 Repo collateral reuse and liquidity windfalls
by Alexiou, Georgios Angelis & Pereira, Sofia M. & Rodrigues-Gomes, Victor
- 3146 Household borrowing and monetary policy transmission: post-pandemic insights from nine European credit registers
by De Jonghe, Olivier & Benkovskis, Konstantins & Bielskis, Karolis & Bonfim, Diana & Bottero, Margherita & Briglevics, Tamás & Cesnak, Martin & Dirma, Mantas & Emiris, Marina & Filep-Mosberger, Pálma & Jouvanceau, Valentin & Kaiser, Nicholas & Khametshin, Dmitry & Lalinsky, Tibor & Grolmusz, Viola M. & Moretti, Laura & Nikitins, Artūrs Jānis & Nunnari, Angelo & Rodriguez-Moreno, Maria & Stefanova, Elitsa & Szabó, Lajos Tamás & Vilerts, Kārlis & Zhao, Sujiao Emma
- 3145 Monetary and fiscal policy interactions in the aftermath of an inflationary shock
by Campos, Maria Manuel & Gomes, Sandra & Jacquinot, Pascal & Cardoso-Costa, José Miguel
- 3144 The protectionist gamble: How tariffs shape greenfield foreign direct investment
by Moder, Isabella & Spital, Tajda
- 3143 Geopolitical risk, bank lending and real effects on firms: evidence from the Russian invasion of Ukraine
by McQuade, Peter & Pancaro, Cosimo & Reghezza, Alessio & Avril, Pauline
- 3142 Developing distributional national accounts: first attempt to estimate a joint distribution for income and wealth for the euro area
by Blatnik, Nina & Kavonius, Ilja Kristian & Morais, Luís Teles
- 3141 Reputation for Confidence
by Gáti, Laura & Handlan, Amy
- 3140 Banking on assumptions? How banks model deposit maturities
by Coulier, Lara & Pancaro, Cosimo & Pancotto, Livia & Reghezza, Alessio
- 3139 Fiscal announcements and households’ beliefs: evidence from the euro area
by Gallegos, José-Elías & García-Miralles, Esteban & Kataryniuk, Ivan & Parraga Rodriguez, Susana
- 3138 Decomposing US economic fluctuations: a trend-cycle approach
by Fosso, Luca
- 3137 Inflation and monetary policy in medium-sized New Keynesian DSGE models
by Coenen, Günter & Mazelis, Falk & Motto, Roberto & Ristiniemi, Annukka & Smets, Frank & Warne, Anders & Wouters, Raf
- 3136 Fiscal drag in theory and in practice: a European perspective
by García-Miralles, Esteban & Freier, Maximilian & Riscado, Sara & Brusbārde, Baiba & Cochard, Marion & Cornille, David & Dicarlo, Emanuele & Delgado-Téllez, Mar & Fadejeva, Ludmila & Flevotomou, Maria & Henne, Florian & McIndoe-Calder, Tara & Pidkuyko, Myroslav & Roter, Mojca & Savignac, Frédérique & Kastelec, Andreja Strojan & Leventi, Chrysa & Mazzon, Alberto & Abela, Glenn & Boyd, Laura & Debattista, Ian & Dolls, Mathias & Harrer-Bachleitner, Alena & Jászberényi-Király, Viktor & Lay, Max & Lehtonen, Laura & Mastrogiacomo, Mauro & Moser, Mathias & Nevicky, Martin & Peichl, Andreas & Tuzikas, Vaidotas & Ventouris, Nikos & Wemans, Lara
- 3135 Decoding climate-related risks in sovereign bond pricing: a global perspective
by Anyfantaki, Sofia & Blix Grimaldi, Marianna & Papadopoulos, Georgios & Madeira, Carlos & Malovaná, Simona
- 3134 A study on the interaction of capital, liquidity and bank stability
by Población García, Francisco Javier & Suárez, Nuria
- 3133 The slope of the euro area price Phillips curve: evidence from regional data
by Beschin, Anna & Paredes, Joan & Polichetti, Gaetano & Renault, Théodore
- 3132 How do rising temperatures affect inflation expectations?
by Georgarakos, Dimitris & Kenny, Geoff & Meyer, Justus & van Rooij, Maarten
- 3131 From Brussels to Bangkok: how investment funds transmit financial spillovers
by Anaya Longaric, Pablo & Cera, Katharina & Georgiadis, Georgios & Kaufmann, Christoph
- 3130 Macroprudential policy, monetary policy and non-bank financial intermediation
by Giuzio, Margherita & Kapadia, Sujit & Kaufmann, Christoph & Storz, Manuela & Weistroffer, Christian
- 3129 Hidden weaknesses: the role of unrealized losses in monetary policy transmission
by Kagerer, Benedikt & Pancaro, Cosimo & Reghezza, Alessio & De Vito, Antonio
- 3128 The impact of capital requirements on bank capital
by Albertazzi, Ugo & Ponte Marques, Aurea & Abbondanza, Aurora & Travaglini, Giulia Leila
- 3127 Durability, essentiality, and the transmission of monetary policy to household consumption
by Gareis, Johannes & Minasian, Ryan
- 3126 Foreign demand for safety and macroeconomic instability
by Castells-Jauregui, Madalen & Kuvshinov, Dmitry & Richter, Björn & Vanasco, Victoria
- 3125 Battle of the ages: distributional and aggregate effects of monetary policy in a model with age demographics
by Den Haan, Wouter J. & Ferrari, Alessandro & Mazelis, Falk & Ristiniemi, Annukka
- 3124 The Great Moderation at 40: learning from the cross section
by Stracca, Livio
- 3123 Business cycles with pricing cascades
by Nakov, Anton & Ghassibe, Mishel
- 3122 What can newspaper articles reveal about the euro area economy?
by Saiz, Lorena & Magro, Manuel Medina
- 3121 Sustainability labels vs. reality: how climate-friendly are green and ESG funds?
by Salakhova, Dilyara & Giuzio, Margherita & Kapadia, Sujit & Mazzolini, Giulio
- 3120 Macroeconomic regime change and the size of supply chain disruption and energy supply shocks
by De Santis, Roberto A. & Tornese, Tommaso
- 3119 The ECB-Multi Country Model. A semi-structural model for forecasting and policy analysis for the largest euro area countries
by Angelini, Elena & Bokan, Nikola & Ciccarelli, Matteo & Lalik, Magdalena & Zimic, Srečko
- 3118 Firms’ risk and monetary transmission: revisiting the excess bond premium
by Domenech Palacios, Mar
- 3117 Trade wars and global spillovers. A quantitative assessment with ECB-global
by Jouvanceau, Valentin & Darracq Pariès, Matthieu & Dieppe, Alistair & Kockerols, Thore
- 3116 Oil shocks and firm investment on the two sides of the Atlantic
by Anaya Longaric, Pablo & Kostakis, Vasileios & Parisi, Laura & Vinci, Francesca
- 3115 The importance of the SSM’s fitness and propriety work for banks’ performance – evidence from 10 years of SSM work
by Faella, Francesca & Scheins, Christopher & Schwarz, Claudia & van Breemen, Vivian M.
- 3114 The effects of monetary policy on banks and non-banks in times of stress
by Fukker, Gábor & Sydow, Matthias & Mimun, Anisa Tiza
- 3113 Stylized facts in money markets: an empirical analysis of the eurozone data
by Allaire, Nolwenn & Le Coz, Victor & Benzaquen, Michael & Challe, Damien
- 3112 Mortgage loan rates and the defaults of variable rate mortgages
by Bandoni, Emil & Jarmulska, Barbara & Fourné, Friederike
- 3111 Central bank money as a catalyst for fungibility: the case of stablecoins
by Coste, Charles-Enguerrand & Pantelopoulos, George
- 3110 The signaling effects of fiscal announcements
by Melosi, Leonardo & Rogantini Picco, Anna & Morita, Hiroshi & Zanetti, Francesco
- 3109 The heterogeneous impact of labor market shifts on household mortgage-taking
by Cantarella, Michele & Kavonius, Ilja Kristian
- 3108 The causal effect of inflation on financial stability, evidence from history
by Albertazzi, Ugo & Hooft, James ’t & Ter Steege, Lucas
- 3107 Nonlinearities and heterogeneity in firms response to aggregate fluctuations: what can we learn from machine learning?
by Pesce, Simone & Errico, Marco & Pollio, Luigi
- 3106 Public debt, iMPCs & fiscal policy transmission
by Grancini, Stefano
- 3105 Opening the black box of local projections
by Klieber, Karin & Coulombe, Philippe Goulet
- 3104 Geography versus income: the heterogeneous effects of carbon taxation
by Labrousse, Charles & Perdereau, Yann
- 3103 Central bank communication with non-experts: insights from a randomized field experiment
by Jung, Alexander & Mongelli, Francesco Paolo
- 3102 The macroeconomic impact of trade policy: a new identification approach
by Bonk, Alica Ida & Larkou, Chloe
- 3101 Heterogeneous intermediaries in the transmission of central bank corporate bond purchases
by Holm-Hadulla, Fédéric & Leombroni, Matteo
- 3100 How to conduct joint Bayesian inference in VAR models?
by Yambolov, Andrian
- 3099 Unlocking growth? EU investment programmes and firm performance
by De Sanctis, Alessandro & Kapp, Daniel & Vinci, Francesca & Wojciechowski, Robert
- 3098 Private investment, R&D and European Structural and Investment Funds: crowding-in or crowding-out?
by De Santis, Roberto A. & Vinci, Francesca
- 3097 The cost channel of monetary policy: evidence from euro area firm-level survey data
by Albertazzi, Ugo & Ferrando, Annalisa & Gori, Sofia & Rariga, Judit
- 3096 Supply shocks and inflation: timely insights from financial markets
by Ferrari Minesso, Massimo & Van Robays, Ine & Cassinis, Maria Giulia
- 3095 Collateral and credit
by Degryse, Hans & De Jonghe, Olivier & Laeven, Luc & Zhao, Tong
- 3094 Gaming the test? Window-dressing and portfolio similarity around the EU-wide stress tests
by Cuzzola, Angelo & Barbieri, Claudio & Hałaj, Grzegorz
- 3093 Verba volant, transcripta manent: what corporate earnings calls reveal about the AI stock rally
by Ca' Zorzi, Michele & Manu, Ana-Simona & Lopardo, Gianluigi
- 3092 Mind the App: do European deposits react to digitalisation?
by Fascione, Luisa & Scheubel, Beatrice & Stracca, Livio & Wildmann, Nadya & Jacoubian, Juan Ignacio
- 3091 Higher-order exposures
by Wiersema, Garbrand & Kleinnijenhuis, Alissa M. & Kemp, Esti & Wetzer, Thom
- 3090 Riding the rate wave: interest rate and run risks in euro area banks during the 2022-2023 monetary cycle
by Rice, Jonathan & Guerrini, Giulia Maria
- 3089 Impacts of ESG banking regulation on financing new sustainable technologies
by Schreiner, Lena & Beyer, Andreas
- 3088 Bank lending implications of climate stress tests
by Gschossmann, Isabella & Kok, Christoffer & De Cicco, Valentina
- 3087 The impact of climate litigation risk on firms’ cost of bank loans
by Beyer, Andreas & Nobile, Lorenzo
- 3086 Beyond averages: heterogeneous effects of monetary policy in a HANK model for the euro area
by Kase, Hanno & Rigato, Rodolfo Dinis
- 3085 Hand-to-mouth banks: deposit inflows and the marginal propensity to lend
by Corell, Felix
- 3084 Climate change, firms, and aggregate productivity
by Caggese, Andrea & Chiavari, Andrea & Goraya, Sampreet Singh & Villegas‑Sanchez, Carolina
- 3083 Back to school when times are bad? The role of housing wealth
by Popov, Alexander & Pestova, Anna
- 3082 Managing the risks of inflation expectation de-anchoring
by Christoffel, Kai & Farkas, Mátyás
- 3081 Tariffs across the supply chain
by Gnocato, Nicolò & Montes-Galdón, Carlos & Stamato, Giovanni
- 3080 Beyond the short run: monetary policy and innovation investment
by Elfsbacka-Schmöller, Michaela & Goldfayn-Frank, Olga & Schmidt, Tobias
- 3079 Central bank independence and risk-taking at the zero lower bound
by Bartels, Bernhard & Eichengreen, Barry & Schumacher, Julian & Weder di Mauro, Beatrice
- 3078 Details matter: loan pricing and transmission of monetary policy in the euro area
by Anyfantaki, Sofia & Benkovskis, Konstantins & Kunzmann, Vanessa & Lalinsky, Tibor & Petroulakis, Filippos & Zutis, Klavs & Vilerts, Kārlis & Bredl, Sebastian & Giovannini, Massimo & Horky, Florian Matthias & Lampousis, Athanasios & Lukmanova, Elizaveta
- 3077 AI and women’s employment in Europe
by Albanesi, Stefania & Dias Da Silva, António & Jimeno, Juan F. & Lamo, Ana & Wabitsch, Alena
- 3076 Bank fragility and risk management
by Ahnert, Toni & Bertsch, Christoph & Leonello, Agnese & Marquez, Robert
- 3075 From risk to buffer: calibrating the positive neutral CCyB rate in the euro area
by Herrera, Luis & Pirovano, Mara & Scalone, Valerio
- 3074 When margins call: liquidity preparedness of non-bank financial institutions
by Macchiati, Valentina & Cappiello, Lorenzo & Giuzio, Margherita & Ianiro, Annalaura & Lillo, Fabrizio
- 3073 Violent conflict and cross-border lending
by De Haas, Ralph & Popov, Alexander & Mamonov, Mikhail & Shala, Iliriana
- 3072 Monetary policy transmission through cross-selling banks
by Basten, Christoph & Juelsrud, Ragnar
- 3071 Global evidence on profit shifting within firms and across time
by Delis, Manthos D. & Laeven, Luc & Ongena, Steven & Delis, Fotis
- 3070 Falling interest rates and credit reallocation: lessons from general equilibrium
by Asriyan, Vladimir & Laeven, Luc & Martin, Alberto & Van der Ghote, Alejandro & Vanasco, Victoria
- 3069 Local institutional ownership and price discovery around extreme weather events
by Broeders, Dirk & Bauer, Rob & De Carolis, Flavio
- 3068 Strike while the iron is hot – optimal monetary policy under state-dependent pricing
by Karadi, Peter & Nakov, Anton & Nuño, Galo & Pasten, Ernesto & Thaler, Dominik
- 3067 The unexpected upside of depreciation: bridging Europe’s income divide
by Boitier, Alvaro & Stracca, Livio
- 3066 The central bank’s balance sheet and treasury market disruptions
by d'Avernas, Adrien & Vandeweyer, Quentin & Petersen, Damon
- 3065 The international dimension of repo: five new facts
by Hermes, Felix & Schmeling, Maik & Schrimpf, Andreas
- 3064 Inflation and floating-rate loans: evidence from the euro-area
by Schepens, Glenn & Core, Fabrizio & De Marco, Filippo & Eisert, Tim
- 3063 Enhancing GDP nowcasts with ChatGPT: a novel application of PMI news releases
by Sun, Yiqiao & de Bondt, Gabe
- 3062 A new model to forecast energy inflation in the euro area
by Bańbura, Marta & Bobeica, Elena & Giammaria, Alessandro & Porqueddu, Mario & van Spronsen, Josha
- 3061 From losses to buffer - calibrating the positive neutral CCyB rate in the euro area
by De Nora, Giorgia & Pereira, Ana & Pirovano, Mara & Stammwitz, Florian
- 3060 Organized crime and banks: assessing the effects of anti-mafia police actions on lending
by Buchetti, Bruno & Miquel-Flores, Ixart & Fabrizi, Michele & Ipino, Elisabetta & Parbonetti, Antonio
- 3059 Pricing or panicking? Commercial real estate markets and climate change
by Foerster, Kai & Ryan, Ellen & Scheid, Benedikt
- 3058 The poor, the rich, and the credit channel of monetary policy
by Ferrando, Annalisa & Mulier, Klaas & Ongena, Steven & Delis, Manthos
- 3057 The impact of monetary policy and macroprudential policy on corporate lending rates in the Euro area
by Lang, Jan Hannes & Rusnák, Marek & Herbst, Tobias
- 3056 Liquidity dependencies in the euro area
by Soares, Carla
- 3055 From purchases to exit: central bank interventions in corporate debt markets
by Breckenfelder, Johannes & Schepens, Glenn
- 3054 Rational inattention during an RCT
by Maćkowiak, Bartosz & Wiederholt, Mirko
- 3053 Bank lending rates and the riskiness of euro area household loans
by Palligkinis, Spyros
- 3052 Beware of large shocks! A non-parametric structural inflation model
by Bobeica, Elena & Holton, Sarah & Huber, Florian & Martínez Hernández, Catalina
- 3051 Mortgage refinancing and the marginal propensity to consume
by Pesce, Simone & Zhang, Liang
- 3050 Investor sentiment and dynamic connectedness in European markets: insights from the covid-19 and Russia-Ukraine conflict
by Buchetti, Bruno & Bouteska, Ahmed & Harasheh, Murad & Santoni, Alessandro
- 3049 Do central bank reforms lead to more monetary discipline?
by Jung, Alexander & Romelli, Davide & Farvaque, Etienne
- 3048 Interest rate control and the transmission of monetary policy
by Holm-Hadulla, Fédéric & Pool, Sebastiaan
- 3047 Word2Prices: embedding central bank communications for inflation prediction
by Bokan, Nikola & Lenza, Michele & Araujo, Douglas & Comazzi, Fabio Alberto
- 3046 Effects of monetary policy on labor income: the role of the employer
by Bobasu, Alina & Repele, Amalia
- 3045 The impact of regional institutional quality on economic growth and resilience in the EU
by Filip, Marinela-Daniela & Setzer, Ralph
- 3044 Private safe-asset supply and financial instability
by Castells-Jauregui, Madalen
- 3043 Macroprudential and monetary policy tightening: more than a double whammy?
by Behn, Markus & Claessens, Stijn & Gambacorta, Leonardo & Reghezza, Alessio
- 3042 Creditworthy: do climate change risks matter for sovereign credit ratings?
by Cappiello, Lorenzo & Ferrucci, Gianluigi & Maddaloni, Angela & Veggente, Veronica
- 3041 The expert’s edge? Bank lending specialization and informational advantages for credit risk assessment
by Simoens, Mathieu & Tamburrini, Fabio
- 3040 TLTRO III and banks' loan book rebalancing during the pandemic: less 'targeted' than intended for some?
by Hempell, Hannah S. & Rancoita, Elena & Coi, Claudio Corte & Dadoukis, Aristeidis
- 3039 Banking in the negative: a vector error correction analysis of bank-specific lending and deposit rates
by Sigmund, Michael & Agati, Alessandra
- 3038 Fiscal requirements for price stability when households are not Ricardian
by Dupraz, Stéphane & Rogantini Picco, Anna
- 3037 Putting countries on the cap? Pastoral visits of John Paul II and international trade
by Popov, Alexander
- 3036 From flood to fire: is physical climate risk taken into account in banks’ residential mortgage rates?
by Fontana, Adele & Jarmulska, Barbara & Schwarz, Claudia & Scheid, Benedikt & Scheins, Christopher
- 3035 Consumer attitudes towards a central bank digital currency
by Georgarakos, Dimitris & Kenny, Geoff & Laeven, Luc & Meyer, Justus
- 3034 The heterogeneous effects of household debt relief
by Ferreira, Miguel A. & Adelino, Manuel & Oliveira, Miguel
- 3033 Firm ownership and the macroeconomics of incentive leakages
by Aksoy, Yunus & Daripa, Arup & Samiri, Issam
- 3032 Fiscal and macroprudential policies during an energy crisis
by Priftis, Romanos & Schoenle, Raphael
- 3031 Bank transparency and market efficiency
by Beyer, Andreas & Dautović, Ernest
- 3030 Green and brown returns in a production economy
by Jaccard, Ivan & Kockerols, Thore & Schüler, Yves
- 3029 Investment funds and euro disaster risk
by Longaric, Pablo Anaya & Cera, Katharina & Georgiadis, Georgios & Kaufmann, Christoph
- 3028 The taming of the skew: asymmetric inflation risk and monetary policy
by Petrella, Ivan & De Polis, Andrea & Melosi, Leonardo
- 3027 Climate change policies and technologies: diffusion and interaction with institutions and governance
by Labhard, Vincent & Lehtimäki, Jonne
- 3026 Institutional investors and house prices
by Bandoni, Emil & De Nora, Giorgia & Giuzio, Margherita & Ryan, Ellen & Storz, Manuela
- 3025 Mitigating fragility in open-ended investment funds: the role of redemption restrictions
by Molestina Vivar, Luis
- 3024 Monetary policy and the firm-level labor share: a story about capital
by Steininger, Lea & Matzner, Anna
- 3023 Distressed assets and fiscal-monetary support: are AMCs a third way?
by Martin, Reiner & O’Brien, Edward & Peiris, M. Udara & Tsomocos, Dimitrios P.
- 3022 Digital money and finance: a critical review of terminology
by Bindseil, Ulrich & Coste, Charles-Enguerrand & Pantelopoulos, George
- 3021 Housing wealth across countries: the role of expectations, institutions and preferences
by Le Blanc, Julia & Slacalek, Jiri & White, Matthew N.
- 3020 Carbon pricing, border adjustment and renewable energy investment: a network approach
by Delgado-Téllez, Mar & Quintana, Javier & Santabárbara, Daniel
- 3019 Banking networks and economic growth: from idiosyncratic shocks to aggregate fluctuations
by Kundu, Shohini & Vats, Nishant
- 3018 Non-homothetic housing demand and geographic worker sorting
by Furbach, Nina
- 3017 The implications of CIP deviations for international capital flows
by Kubitza, Christian & Sigaux, Jean-David & Vandeweyer, Quentin
- 3016 Leverage actually: the impact on banks’ borrowing costs in euro area money markets
by Andreeva, Desislava & Samarina, Anna & Faria, Lara Sousa
- 3015 The great supply shock and the euro area, viewed through a suite of supply indices
by Labhard, Vincent & Saliba, Maria Christine
- 3014 The growth effect of EU funds – the role of institutional quality
by Szörfi, Béla & Augusztin, Anna & Iker, Áron & Monisso, Anna
- 3013 Flexible asset purchases and repo market functioning
by Grasso, Adriana & Poinelli, Andrea
- 3012 Time-varying risk aversion and inflation-consumption correlation in an equilibrium term structure model
by Bletzinger, Tilman & Lemke, Wolfgang & Renne, Jean-Paul
- 3011 Climate-linked bonds
by Broeders, Dirk & Dimitrov, Daniel & Verhoeven, Niek
- 3010 Why gradual and predictable? Bank lending during the sharpest quantitative tightening ever
by Burlon, Lorenzo & Ferrari, Alessandro & Kho, Stephen & Tushteva, Nikoleta
- 3009 When banks hold back: credit and liquidity provision
by Altavilla, Carlo & Rostagno, Massimo & Schumacher, Julian
- 3008 Equity financing in a banking crisis: evidence from private firms
by Kochen, Federico
- 28 Insurance companies in the Euro area: asset allocation and impact on financial markets
by Corradin, Stefano & Fontana, Alessandro & Kubitza, Christian & Maddaloni, Angela
- 27 Heterogeneity in macroeconomics
by Lenza, Michele & Tristani, Oreste
2024
- 3007 The geography of capital allocation in the euro area
by Beck, Roland & Schmitz, Martin & Coppola, Antonio & Lewis, Angus & Maggiori, Matteo & Schreger, Jesse
- 3006 Trust in central banks
by Ehrmann, Michael
- 3005 Why do we need to strengthen climate adaptations? Scenarios and financial lines of defence
by Mongelli, Francesco Paolo & Ceglar, Andrej & Scheid, Benedikt Alois
- 3004 Nowcasting Made Easier: a toolbox for economists
by Linzenich, Jan & Meunier, Baptiste
- 3003 Monetary policy pass-through to consumer prices: evidence from granular price data
by Allayioti, Anastasia & Gόrnicka, Lucyna & Holton, Sarah & Martínez Hernández, Catalina
- 3002 Going NUTS: the regional impact of extreme climate events over the medium term
by González-Torres Fernández, Guzmán & Parker, Miles & Usman, Sehrish
- 3001 Real effects of credit supply shocks: evidence from Danish banks, firms, and workers
by Schroeder, Christofer & Hviid, Simon Juul
- 3000 Banks and non-banks stressed: liquidity shocks and the mitigating role of insurance companies
by Sydow, Matthias & Fukker, Gábor & Dubiel-Teleszynski, Tomasz & Franch, Fabio & Gründl, Helmut & Miccio, Debora & Pellegrino, Michela & Gallet, Sébastien & Kotronis, Stelios & Schlütter, Sebastian & Sottocornola, Matteo
- 2999 Financial returns, sentiment and market volatility. A dynamic assessment
by Borgioli, Stefano & Gallo, Giampiero M. & Ongari, Chiara
- 2998 For whom the bill tolls: redistributive consequences of a monetary-fiscal stimulus
by Brzoza-Brzezina, Michał & Kolasa, Marcin & Makarski, Krzysztof & Jabłońska, Julia
- 2997 Time-varying agglomeration economies and aggregate wage growth
by Berson, Clémence & Combes, Pierre-Philippe & Gobillon, Laurent & Sotura, Aurélie
- 2996 Fiscal policy and inflation: accounting for non-linearities in government debt
by Checherita-Westphal, Cristina & Pesso, Tom
- 2995 Asymmetric monetary policy spillovers: the role of supply chains, credit networks and fear of floating
by Mistak, Jakub & Ozkan, F. Gulcin
- 2994 A statistical approach to identifying ECB monetary policy
by Akkaya, Yıldız & Bitter, Lea & Brand, Claus & Fonseca, Luís
- 2993 Government-guaranteed credit and populism
by Dautović, Ernest & Hsieh, Robin
- 2992 Inputs in distress: geoeconomic fragmentation and firms’ sourcing
by Panon, Ludovic & Lebastard, Laura & Mancini, Michele & Borin, Alessandro & Essers, Dennis & Linarello, Andrea & Caka, Peonare & Cariola, Gianmarco & Gentili, Elena & Padellini, Tullia & Requena, Francisco & Timini, Jacopo
- 2991 Variational inference for Bayesian panel VAR models
by Ter Steege, Lucas
- 2990 Climate capitalists
by Gormsen, Niels Joachim & Huber, Kilian & Oh, Sangmin S.
- 2989 Monetary policy and growth-at-risk: the role of institutional quality
by Emter, Lorenz & Setzer, Ralph & Zorell, Nico & Moura, Afonso S.
- 2988 Capital requirements in Pillar 1 or Pillar 2: does it matter for market discipline?
by Witte, Niklas
- 2987 Stablecoins, money market funds and monetary policy
by Aldasoro, Iñaki & Ferrari Minesso, Massimo & Gambacorta, Leonardo & Habib, Maurizio Michael & Cornelli, Giulio
- 2986 How income expectations adjust to inflation – a consumers’ expectations-revealed pass-through
by Di Nino, Virginia & Aprigliano, Valentina
- 2985 The inflationary consequences of prioritising central bank profits
by Gebauer, Stefan & Pool, Sebastiaan & Schumacher, Julian
- 2984 Unraveling the drivers of energy-saving technical change
by Känzig, Diego R. & Williamson, Charles
- 2983 Asymmetries in the transmission of monetary policy shocks over the business cycle: a Bayesian Quantile Factor Augmented VAR
by Velasco, Sofia
- 2982 Estimating the full effect of a partially anticipated event: a market-based approach applied to the case of TLTROIII
by Mosk, Benjamin & Vassallo, Danilo
- 2981 Tackling the volatility paradox: spillover persistence and systemic risk
by Kubitza, Christian
- 2980 Digital euro demand: design, individuals’ payment preferences and socioeconomic factors
by Lambert, Claudia & Larkou, Chloe & Pancaro, Cosimo & Pellicani, Antonella & Sintonen, Meri
- 2979 Aim, focus, shoot. The choice of appropriate and effective macroprudential instruments
by Pirovano, Mara & Azzone, Michele
- 2978 Macroeconomic modelling of CBDC: a critical review
by Bindseil, Ulrich & Senner, Richard
- 2977 The aggregate and distributional implications of credit shocks on housing and rental markets
by Paz-Pardo, Gonzalo & Castellanos, Juan & Hannon, Andrew
- 2976 The life-cycle dynamics of wealth mobility
by Audoly, Richard & Paz-Pardo, Gonzalo & McGee, Rory & Ocampo, Sergio
- 2975 The transmission of bank credit conditions to firms-evidence from linked surveys
by Ferrando, Annalisa & Holton, Sarah & Parle, Conor
- 2974 Corporate reorganization and the reallocation of labor in bankruptcy
by Bonfim, Diana & Nogueira, Gil
- 2973 What shapes spillovers from monetary policy shocks in the United States to emerging market economies?
by Andres Escayola, Erik & McQuade, Peter & Schroeder, Christofer & Tirpák, Marcel
- 2972 Geopolitical risk shocks: when size matters
by Brignone, Davide & Gambetti, Luca & Ricci, Martino
- 2971 Macro uncertainty, unemployment risk, and consumption dynamics
by Oh, Joonseok & Rogantini Picco, Anna
- 2970 The not-so-hidden risks of ‘hidden-to-maturity’ accounting: on depositor runs and bank resilience
by Feinstein, Zachary & Hałaj, Grzegorz & Søjmark, Andreas
- 2969 Climate risk, bank lending and monetary policy
by Altavilla, Carlo & Boucinha, Miguel & Pagano, Marco & Polo, Andrea
- 2968 The pass-through to inflation of gas price shocks
by López, Lucia & Odendahl, Florens & Parraga Rodriguez, Susana & Silgado-Gómez, Edgar