Details about Philipp Johann König
Access statistics for papers by Philipp Johann König.
Last updated 2017-08-28. Update your information in the RePEc Author Service.
Short-id: pkn64
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Working Papers
2015
- Bubbles and Monetary Policy: To Burst or Not to Burst?
DIW Roundup: Politik im Fokus, DIW Berlin, German Institute for Economic Research
- Central Bank Asset Puchases I: The Theory
DIW Roundup: Politik im Fokus, DIW Berlin, German Institute for Economic Research
- Large-Scale Asset Purchases by Central Banks II: Empirical Evidence
DIW Roundup: Politik im Fokus, DIW Berlin, German Institute for Economic Research View citations (2)
2014
- Asymmetric Information and Roll-over Risk
Discussion Papers of DIW Berlin, DIW Berlin, German Institute for Economic Research
- The Bank Capital Debate: Should Fragility Be Reduced?
DIW Roundup: Politik im Fokus, DIW Berlin, German Institute for Economic Research View citations (2)
2013
- The ‘Celtic Crisis’: Guarantees, Transparency and Systemic Liquidity Risk
Staff Working Papers, Bank of Canada View citations (1)
Also in VfS Annual Conference 2013 (Duesseldorf): Competition Policy and Regulation in a Global Economic Order, Verein für Socialpolitik / German Economic Association (2013)
Journal Articles
2015
- A Stronger Union through Crisis? 25 Years of Monetary Integration in Europe
DIW Economic Bulletin, 2015, 5, (27), 376-384
- Liquidity Requirements: A Double-Edged Sword
International Journal of Central Banking, 2015, 11, (4), 129-168 View citations (9)
- Unbekanntes Terrain: Anleihekäufe der Europäischen Zentralbank
DIW Wochenbericht, 2015, 82, (13), 307-316
- Unchartered Territory: Large-Scale Asset Purchases by the European Central Bank
DIW Economic Bulletin, 2015, 5, (13), 189-198 View citations (1)
- Über die Krise zur Einheit? 25 Jahre monetärer Integrationsprozess in Europa
DIW Wochenbericht, 2015, 82, (27), 639-649
2014
- Die Europäische Zentralbank als Lender of Last Resort
DIW Wochenbericht, 2014, 81, (24), 541-554 View citations (2)
- Guarantees, transparency and the interdependency between sovereign and bank default risk
Journal of Banking & Finance, 2014, 45, (C), 321-337 View citations (18)
- Inflationserwartungen im Euroraum sind nicht mehr fest verankert: neue Maßnahmen der EZB-Geldpolitik
DIW Wochenbericht, 2014, 81, (37), 856-867
- Schwache Preisentwicklung und Deflationsgefahr im Euroraum: Grenzen der konventionellen Geldpolitik
DIW Wochenbericht, 2014, 81, (12), 235-249
- The European Central Bank as Lender of Last Resort
DIW Economic Bulletin, 2014, 4, (9), 16-28 View citations (3)
- Weak Inflation and Threat of Deflation in the Euro Area: Limits of Conventional Monetary Policy
DIW Economic Bulletin, 2014, 4, (5), 15-28 View citations (2)
2013
- Herbstgrundlinien 2013
DIW Wochenbericht, 2013, 80, (38), 3-40 View citations (1)
- Liquiditätsmanagement des Eurosystems im Zeichen der Krise
DIW Wochenbericht, 2013, 80, (44), 3-17
- Sommergrundlinien 2013
DIW Wochenbericht, 2013, 80, (25), 3-44
- TARGET Balances - An Anchor of Stability
DIW Economic Bulletin, 2013, 3, (11/12), 3-11
- Target-Salden - ein Anker der Stabilität
DIW Wochenbericht, 2013, 80, (44), 19-28
2011
- Weitere Anmerkungen zur Debatte um Target2 während der Finanzkrise
ifo Schnelldienst, 2011, 64, (16), 79-86 View citations (3)
Books
2015
- Quantitative Easing - What Are the Side Effects on Income and Wealth Distribution: In-Depth Analysis, vol 99
DIW Berlin: Politikberatung kompakt, DIW Berlin, German Institute for Economic Research View citations (8)
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