Central Bank Research Hub - Series: European Central Bank Occasional papers

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Title Author(s)

Why accounting matters: a central bank perspective

Paper: 153, 28.05.2014

JEL: E58, M41, M48

A macro stress testing framework for assessing systemic risks in the banking sector

Paper: 152, 11.10.2013

Corporate finance and economic activity in the euro area

Paper: 151, 09.08.2013


"Loose lips sinking markets?": the impact of political communication on sovereign bond spreads

Paper: 150, 05.07.2013

Islamic finance in Europe

Paper: 146, 27.06.2013

JEL: E52, E58, F6, F65, G21, G22, G28, G3, G32, M14

Introducing the ECB indicator on euro area industrial new orders

Paper: 149, 27.06.2013

The use of credit claims as collateral for Eurosystem credit operations

Paper: 148, 19.06.2013

Convergence in European retail payments

Paper: 147, 18.06.2013

Statistics and indicators for financial stability analysis and policy

Paper: 145, 25.04.2013

JEL: E60, G21, G22, G28

The mutating euro area crisis: is the balance between "sceptics" and "advocates" shifting?

Paper: 144, 26.02.2013

JEL: F33, F42, N24

Financial shocks and the macroeconomy: heterogeneity and non-linearities

Paper: 143, 26.02.2013

JEL: C32, E32, E44

China's economic growth and rebalancing

Paper: 142, 05.02.2013

External competitiveness of EU candidate countries

Paper: 141, 31.01.2013

Financial stability analysis: insights gained from consolidated banking data for the EU

Paper: 140, 15.01.2013

Competitiveness and external imbalances within the euro area

Paper: 139, 07.12.2012


Euro area labour markets and the crisis

Paper: 138, 31.10.2012


The social and private costs of retail payment instruments: a European perspective

Paper: 137, 08.10.2012

Financial stability challenges for EU acceding and candidate countries: making financial systems more resilient in a challenging environment

Paper: 136, 28.09.2012


The use of the Eurosystem's monetary policy instruments and operational framework since 2009

Paper: 135, 27.08.2012

JEL: D02, E43, E58, E65

Revisting the effective exchange rates of the Euro

Paper: 134, 28.06.2012

JEL: F10, F30, F31, F40

Shadow banking in the Euro area: an overview

Paper: 133, 03.05.2012

JEL: G01, G15, G21, G28

The size and composition of government debt in the euro area

Paper: 132, 18.10.2011

Interchange fees in card payments

Paper: 131, 07.10.2011

Some lessons from the financial crisis for the economic analysis

Paper: 130, 07.10.2011

Structural features of distributive trades and their impact on prices in the euro area

Paper: 128, 06.10.2011


The Stability and Growth Pact - crisis and reform

Paper: 129, 22.09.2011

Beyond the economics of the euro - analysing the institutional evolution of EMU 1999-2010, September 2011

Paper: 127, 22.09.2011

Euro area cross-border financial flows and the global financial crisis

Paper: 126, 28.07.2011

Household sector borrowing in the euro area - a micro data perspective

Paper: 125, 09.04.2011

Who has been affected, how and why? The spillover of the global financial crisis to Sub-Saharan Africa and ways to recovery

Paper: 124, 18.03.2011

The international monetary system after the financial crisis

Paper: 123, 09.02.2011

The impact of the Eurosystem's covered bond purchase programme on the primary and secondary markets

Paper: 122, 14.01.2011

The benefits of fiscal consolidation in uncharted waters

Paper: 121, 05.11.2010

Dancing together at arm¿s length? ¿ The interaction of central banks with governments in the G7

Paper: 120, 21.10.2010

The global downturn and its impact on euro area exports and competitiveness

Paper: 119, 18.10.2010

The impact of the global financial turmoil and recession on Mediterranean countries¿ economies

Paper: 118, 13.08.2010

JEL: E60, G21, R11

Financial stability challenges in EU candidate countries - Financial systems in the aftermath of the global crisis

Paper: 115, 26.07.2010

JEL: F32, F41, G21, G28


Securities clearing and settlement in China: markets, infrastructures and policy-making

Paper: 116, 08.07.2010

JEL: E58, G15, G18, G21, G28, P34

Extraordinary measures in extraordinary times ¿ Public measures in support of the financial sector in the EU and the United States

Paper: 117, 08.07.2010

JEL: E58, E61, G21, G38

The impact of the global economic and financial crisis on central, eastern and south-eastern Europe: A stock-taking exercise

Paper: 114, 01.07.2010

JEL: F15, F32, G01, G15, G18, H30

Public wages in the euro area - towards securing stability and competitiveness

Paper: 112, 21.06.2010

JEL: E62, E63, H11, H50, J45

Energy markets and the euro area macroeconomy

Paper: 113, 17.06.2010


Protectionist responses to the crisis ¿ global trends and implications

Paper: 110, 08.06.2010

JEL: F13, F15, F21, F53

Main drivers of the ECB financial accounts and ECB financial strength over the first 11 years

Paper: 111, 14.05.2010

JEL: E42, E58, M41

Euro area fiscal policies and the crisis

Paper: 109, 14.04.2010

JEL: E10, E62, G15, H30, H62

Trade consistency in the context of the Eurosystem projection exercises ¿ an overview

Paper: 108, 17.03.2010

The collateral frameworks of the Eurosystem, the Federal Reserve System and the Bank of England and the financial market turmoil

Paper: 107, 29.12.2009

JEL: E52, E58, G01, G20

Flow-of-funds analysis at the ECB ¿ framework and applications

Paper: 105, 02.09.2009

Monetary policy strategy in a global environment

Paper: 106, 22.08.2009

JEL: E44, E58, F33, F42

Fiscal policy challenges in oil-exporting countries ¿ a review of key issues

Paper: 104, 25.06.2009

JEL: E62, E63, H30, H60, Q32, Q38

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