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Research Bulletin articles - Past issues
- Winter 2016
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Research Bulletin No. 23
Topics:
- Inflation and unemployment in Europe – insights from the ECB’s 2015 Sintra Forum;
- The heterogeneous interpretation of forward guidance;
- Shall we trust governments’ fiscal plans?
- Summer 2015
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Research Bulletin No. 22
Topics:
- Financial instability in macroeconomics: a set of new structural models;
- The financial and macroeconomic effects of OMT announcements;
- The impact of financial transaction taxes: new evidence
- Spring 2014
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Research Bulletin No. 21
Topics:
- Assessing competitiveness: initial results from the new Compnet micro-based database;
- Dealing with a liquidity trap when government debt matters;
- House prices and expectations
- Winter 2013/14
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Research Bulletin No. 20
Topics:
- The sovereign-bank nexus;
- Choosing variables in macroeconomic modelling;
- External and macroeconomic adjustment in Spain and Germany
- Autumn 2013
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Research Bulletin No. 19
Topics:
- Introducing systemic financial instability into macroeconomics: how to meet the challenge?;
- Wealth heterogeneity and the response of consumption to shocks;
- The Eurosystem household finance and consumption survey: an important resource for policy-makers and researchers
- Spring 2013
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Research Bulletin No. 18
Topics:
- Heterogeneous transmission mechanism and the credit channel in the euro area;
- Firm's adjustment during times of crisis;
- Macroeconomic effects of large-scale asset purchase programs
- Winter 2012
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Research Bulletin No. 17
Topics:
- The impact of the securities markets programme;
- Conditional probabilities and contagion measures for euro area sovereign default risk;
- Bank dependence and investment during the financial crisis
- Summer 2012
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Research Bulletin No. 16
Topics:
- Does regulation at home affect bank risk-taking abroad?;
- Cyclical precautionary saving and monetary policy;
- What drives the US personal saving rate? The role of wealth, credit and uncertainty
- Spring 2012
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Research Bulletin No. 15
Topics:
- Bubbles, banks and financial stability;
- Monetary policy analysis and data revisions – vintage combination from a real-time dataset;
- Credit risk and the zero lower bound on interest rates
- Autumn 2011
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Research Bulletin No. 14
Topics:
- The euro area sovereign crisis: monitoring spillovers and contagion;
- Financial frictions, financial integration and the international propagation of shocks;
- Revisiting the information content of core inflation
- Summer 2011
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Research Bulletin No. 13
Topics:
- Managing exchange rate misalignment and current account imbalances;
- Technology, hours and factor substitution
- Spring 2011
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Research Bulletin No. 12
Topics:
- New methodologies for systemic risk measurement;
- What can the Diamond-Mortensen-Pissarides model tell us about the conduct of monetary policy in the euro area?
- Rational inattention
- November 2010
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Research Bulletin No. 11
Topics:
- Enhancing monetary analysis;
- “Return-free risk”? Market pricing in credit risk markets;
- Macroeconomic forecasting: can forecast combination help?
- June 2010
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Research Bulletin No. 10
Topics:
- Wage dynamics in Europe: some new findings;
- When does fiscal stimulus work?
- Risk, uncertainty and monetary policy
- March 2010
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Research Bulletin No. 9
Topics:
- The forgotten markets: how understanding money markets helps us to understand the financial crisis;
- Bank lending standards and the origins and implications of the current banking crisis;
- Financial conditions and monetary policy;
- Incorporating financial frictions into new-generation macro models;
- March 2009
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Research Bulletin No. 8
Topics:
- Banks, credit and the transmission mechanism of monetary policy;
- Business cycles in the euro area;
- Global liquidity as an early warning indicator for asset price boom/bust cycles;
- ECB Central Banking Conference;
- International Research Forum on Monetary Policy;
- Conference of the Eurosystem/ESCB Wage Dynamics Network
- June 2008
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Research Bulletin No. 7
Topics:
- A research perspective on the propagation of the credit market turmoil;
- Financial innovation and the effect of housing wealth on consumption;
- Regional inflation dynamics within and across euro area countries and a comparison with the United States;
- Geneva Report on “International financial stability”
- June 2007
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Research Bulletin No. 6
Topics:
- Explaining financial market puzzles with learning;
- Financial integration and capital flows in the new EU Member States;
- Productivity growth in the euro area
- December 2006
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Research Bulletin No. 5
Topics:
- Central bank communication;
- A real-time database for the euro area;
- Implementing monetary policy using a corridor system
- Press release: FRANÇAIS
- April 2006
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Research Bulletin No. 4
Topics:
- How do VAT changes affect the economy? An illustration using the new area-wide model;
- Global imbalances and "excess liquidity": is there a link?;
- Cross-border banking and competition policy
- November 2005
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Research Bulletin No. 3
Topics:
- Economic determinants of risk premia in the term structure of interest rates;
- Is inflation a global phenomenon?;
- The impact of higher wages on output and inflation
- April 2005
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Research Bulletin No. 2
Topics:
- Monetary policy and imperfect knowledge;
- The central banker as a risk manager;
- Securities settlement and financial integration: why do we care?
- November 2004
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Research Bulletin No. 1
Topics:
- Financial contagion: myth or reality?;
- Monetary policy in a low inflation environment;
- Policy changes: macroeconomics and identification