Central Bank Research Hub - Series: European Central Bank Working papers 2014

Papers by year: All | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003

Title Author(s)

Sovereign credit ratings, market volatility, and financial gains

Paper: 1654, 13.03.2014

Fiscal activism and the zero nominal interest rate bound

Paper: 1653, 13.03.2014

Macroeconomic experiences and risk taking of euro area households

Paper: 1652, 12.03.2014

Network effects, homogeneous goods and international currency choice: new evidence on oil markets from an older era

Paper: 1651, 12.03.2014

The euro plus pact: cost competitiveness and external capital flows in the EU countries

Paper: 1650, 11.03.2014

Global corporate bond issuance: what role for US quantitative easing?

Paper: 1649, 11.03.2014

The Distribution of wealth and the MPC: implications of new European data

Paper: 1648, 10.03.2014

External and macroeconomic adjustment in the larger euro area countries

Paper: 1647, 10.03.2014

Modeling emergence of the interbank networks

Paper: 1646, 07.03.2014

Forward-looking reaction to bank regulation

Paper: 1645, 07.03.2014

Financial conditions index and credit supply shocks for the euro area

Paper: 1644, 06.03.2014

Has US household deleveraging ended? a model-based estimate of equilibrium debt

Paper: 1643, 06.03.2014

A high frequency assessment of the ECB securities markets programme

Paper: 1642, 28.02.2014

Rational blinders: strategic selection of risk models and bank capital regulation

Paper: 1641, 21.02.2014

What drives the market share changes? price versus non-price factors

Paper: 1640, 21.02.2014

The distribution of debt across euro area countries: the role of individual characteristics, institutions and credit conditions

Paper: 1639, 20.02.2014

Central clearing and collateral demand

Paper: 1638, 20.02.2014

Characterizing very high uncertainty episodes

Paper: 1637, 19.02.2014

The impact of monetary policy and exchange rate shocks in Poland: evidence from a time-varying VAR

Paper: 1636, 19.02.2014

Does the federal reserve staff still beat private forecasters?

Paper: 1635, 18.02.2014

Micro-based evidence of EU competitiveness: the CompNet database

Paper: 1634, 18.02.2014

Buffer-stock saving in a Krusell-Smith world

Paper: 1633, 05.02.2014

Anchoring the yield curve using survey expectations

Paper: 1632, 05.02.2014

Household risk management and actual mortgage choice in the euro area

Paper: 1631, 30.01.2014

Financial flexibility across the euro area and the UK

Paper: 1630, 30.01.2014

The impact of news and the SMP on realized (co)variances in the eurozone sovereign debt market

Paper: 1629, 30.01.2014

Cross-border production chains and business cycle co-movement between Central and Eastern European countries and euro area member states

Paper: 1628, 30.01.2014

Papers by year: All | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | 2004 | 2003