Central Bank Research Hub - Series: European Central Bank Working papers 2011

Papers by year: All | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003

Title Author(s)

Potential output in DSGE models,

Paper: 1351, 06.06.2011

Consumer confidence as a predictor of consumption spending: evidence for the United States and the euro area,

Paper: 1349, 06.06.2011

The optimal width of the central bank standing facilities corridor and banks' day-to-day liquidity management,

Paper: 1350, 06.06.2011

Systemic risk-taking: amplification effects, externalities, and regulatory responses,

Paper: 1345, 01.06.2011

Do financial investors destabilize the oil price?,

Paper: 1346, 01.06.2011

Sovereign credit ratings and financial markets linkages: application to European data,

Paper: 1347, 01.06.2011

Theoretical notes on bubbles and the current crisis,

Paper: 1348, 01.06.2011

Have euro area and EU economic governance worked? Just the facts,

Paper: 1344, 27.05.2011

Fiscal data revisions in Europe,

Paper: 1342, 27.05.2011

The predictive content of sectoral stock prices: a US-euro area comparison,

Paper: 1343, 27.05.2011

Exact likelihood computation for nonlinear DSGE models with heteroskedastic innovations,

Paper: 1341, 27.05.2011

How wages respond to shocks: asymmetry in the speed of adjustment,

Paper: 1340, 16.05.2011

The stock market reaction to the 2005 non-tradable share reform in China,

Paper: 1339, 12.05.2011

Financial frictions and optimal monetary policy in an open economy,

Paper: 1338, 11.05.2011

Who invests in home equity to exempt wealth from bankruptcy?

Paper: 1337, 02.05.2011

The bank lending channel: lessons from the crisis

Paper: 1335, 02.05.2011

A monetary policy strategy in good and bad times: lessons from the recent past

Paper: 1336, 02.05.2011

On the importance of sectoral and regional shocks for price-setting

Paper: 1334, 02.05.2011

The effectiveness of monetary policy in steering money market rates during the recent financial crisis,

Paper: 1328, 20.04.2011

Securitization, bank lending and credit quality: the case of Spain,

Paper: 1329, 20.04.2011

Financial remoteness and the net external position,

Paper: 1330, 20.04.2011

Business cycle dynamics under rational inattention,

Paper: 1331, 20.04.2011

Distributional dynamics under smoothly state-dependent pricing,

Paper: 1333, 20.04.2011

Central bank communication on financial stability,

Paper: 1332, 20.04.2011

Welfare costs of inflation and the circulation of US currency abroad,

Paper: 1326, 13.04.2011

Systemic risk diagnostics: coincident indicators and early warning signals,

Paper: 1327, 13.04.2011

Business cycle synchronisation: disentangling trade and financial linkages,

Paper: 1322, 08.04.2011

Structural reforms and macroeconomic performance in the euro area countries: a model-based assessment,

Paper: 1323, 08.04.2011

Wage structure effects of international trade: evidence from a small open economy,

Paper: 1325, 08.04.2011

Nowcasting inflation using high frequency data,

Paper: 1324, 08.04.2011

Macroeconomic implications of downward wage rigidities,

Paper: 1321, 08.04.2011

What lies beneath? A time-varying FAVAR model for the UK transmission mechanism,

Paper: 1320, 07.04.2011

Fiscal developments and financial stress: a threshold VAR analysis,

Paper: 1319, 07.04.2011

Using the global dimension to identify shocks with sign restrictions,

Paper: 1318, 07.04.2011

The ECB's New Multi-Country Model for the euro area: NMCM - with boundedly rational learning expectations,

Paper: 1316, 07.04.2011

The ECB's New Multi-Country Model for the euro area: NMCM - simulated with rational expectations,

Paper: 1315, 07.04.2011

Financial imbalances and financial fragility,

Paper: 1317, 07.04.2011

Price and wage setting in Portugal: learning by asking,

Paper: 1314, 01.04.2011

Is China climbing up the quality ladder? Estimating cross country differences in product quality using Eurostat's COMEXT trade database,

Paper: 1310, 24.03.2011

News and policy foresight in a macro-finance model of the US,

Paper: 1313, 24.03.2011

Macro-financial vulnerabilities and future financial stress: assessing systemic risks and predicting systemic events,

Paper: 1311, 24.03.2011

A structural model of central bank operations and bank intermediation,

Paper: 1312, 24.03.2011

Skills and wage inequality in Greece: evidence from matched employer-employee data, 1995-2002

Paper: 1309, 15.03.2011

Myopic governments and welfare-enhancing debt limits,

Paper: 1308, 09.03.2011

The response of labour taxation to changes in government debt

Paper: 1307, 03.03.2011

Choosing between time and state dependence: micro evidence on firms' price-reviewing strategies,

Paper: 1305, 01.03.2011

Why are some prices stickier than others? Firm-data evidence on price adjustment lags,

Paper: 1306, 01.03.2011

The immigrant/native wealth gap in Germany, Italy and Luxembourg

Paper: 1302, 28.02.2011

Behavioural characteristics and financial distress

Paper: 1303, 28.02.2011

Subprime consumer credit demand: evidence from a lender's pricing experiment

Paper: 1304, 28.02.2011

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