IMFS Working Paper Series
From Goethe University Frankfurt, Institute for Monetary and Financial Stability (IMFS)
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- 78: On the Conditional Effects of IMF Loan Program Participation on Output Growth

- Michael Binder and Marcel Bluhm
- 77: Zur Offenlegung der Bezüge von Sparkassenführungskräften im Internet

- Helmut Siekmann
- 76: Financial regulation and supervision across business lines in the United States: Financial holding companies post Gramm-Leach-Bliley Act

- Y. Emilie Yoo
- 75: Is monetary policy overburdened?

- Athanasios Orphanides
- 74: Estimating the European Central Bank's "Extended Period of Time"

- Tilman Bletzinger and Volker Wieland
- 73: The Single Supervisory Mechanism - Panacea or Quack Banking Regulation? Preliminary assessment of the evolving regime for the prudential supervision of banks with ECB involvement

- Tobias Tröger
- 72: Dealing with a liquidity trap when government debt matters: Optimal time-consistent monetary and fiscal policy

- Matthias Burgert and Sebastian Schmidt
- 71: The European Central Bank’s outright monetary transactions and the Federal Constitutional Court of Germany

- Helmut Siekmann and Volker Wieland
- 70: Atypical behavior of credit: Evidence from a monetary VAR

- Elena Afanasyeva
- 69: Konzernverantwortung in der aufsichtsunterworfenen Finanzbranche

- Tobias Tröger
- 68: Fiscal consolidation strategy: An update for the budget reform proposal of march 2013

- John F. Cogan, John Taylor, Volker Wieland and Maik Wolters
- 67: Monetary theory and monetary policy: Reflections on the development over the last 150 years

- Otmar Issing and Volker Wieland
- 66: Surprising comparative properties of monetary models: Results from a new model database

- John Taylor and Volker Wieland
- 65: Missachtung rechtlicher Vorgaben des AEUV durch die Mitgliedstaaten und die EZB in der Schuldenkrise

- Helmut Siekmann
- 64: Die Legende von der verfassungsrechtlichen Sonderstellung des "anonymen" Kapitaleigentums

- Helmut Siekmann
- 63: On the importance of sectoral and regional shocks for price setting

- Guenter Beck, Kirstin Hubrich and Massimiliano Marcellino
- 62: Forecasting and policy making

- Volker Wieland and Maik Wolters
- 61: Fiscal consolidation strategy

- John F. Cogan, John Taylor, Volker Wieland and Maik Wolters
- 60: The changing dynamics of US inflation persistence: A quantile regression approach

- Peter Tillmann and Maik Wolters
- 59: Evaluating point and density forecasts of DSGE models

- Maik Wolters
- 58: Capital inflows and asset prices: Evidence from emerging Asia

- Peter Tillmann
- 57: Complexity and monetary policy

- Athanasios Orphanides and Volker Wieland
- 56: (Un)anticipated monetary policy in a DSGE model with a shadow banking system

- Fabio Verona, Manuel Martins and Ines Drumond
- 55: Lumpy investment in sticky information general equilibrium

- Fabio Verona
- 54: Organizational choices of banks and the effective supervision of transnational financial institutions

- Tobias Tröger
- 53: Optimal monetary and fiscal policy with a zero bound on nominal interest rates

- Sebastian Schmidt
- 52: The new keynesian approach to dynamic general equilibrium modeling: Models, methods, and macroeconomic policy evaluation

- Sebastian Schmidt and Volker Wieland
- 51: The competition effect in business cycles

- Vivien Lewis and Arnoud Stevens
- 50: Optimal monetary policy and firm entry

- Vivien Lewis
- 49: A new comparative approach to macroeconomic modeling and policy analysis

- Volker Wieland, Tobias Cwik, Gernot Müller, Sebastian Schmidt and Maik Wolters
- 48: Die rechtliche Regulierung öffentlicher Banken in Deutschland

- Helmut Siekmann
- 47: Die Europäisierung der Finanzmarktaufsicht

- Helmut Siekmann
- 46: Asset pricing under rational learning about rare disasters

- Christos Koulovatianos and Volker Wieland
- 45: Law and economics of the monetary union

- Helmut Siekmann
- 44: On a fundamental reorganisation of the Landesbanks and savings banks sector in Germany

- Heinz Hilgert, Jan Krahnen, Günther Merl and Helmut Siekmann
- 43: Die Bankenabgabe in Deutschland - ein geeignetes Instrument zur Prävention von Finanzkrisen?

- Helmut Siekmann
- 42: Streitschrift für eine grundlegende Neuordnung des Sparkassen- und Landesbankensektors in Deutschland

- Heinz Hilgert, Jan Krahnen, Günther Merl and Helmut Siekmann
- 41: Die Finanzmarktaufsicht in der Krise

- Helmut Siekmann
- 40: Die Entstehung des neuen Europäischen Finanzaufsichtssystems

- Helmut Siekmann
- 39: Wirtschaftsjournalismus vs. Finanzanalyse? Zur "regulierten" Selbstregulierung von Presse und Telemedien in der Finanzmarktberichterstattung nach §§ 34b Abs. 4 und 34c S. 6 des Wertpapierhandelsgesetzes

- Ludger Michael Migge
- 38: Rettungsstrategie ohne Moral Hazard: Versuch eines Gesamtkonzepts zur Bankkrisenvermeidung

- Jan Krahnen and Helmut Siekmann
- 37: Capital adequacy regulation of financial conglomerates in the European Union

- Y. Emilie Yoo
- 36: Misselling through agents

- Roman Inderst and Marco Ottaviani
- 35: Misselling (financial) products: The limits for internal compliance

- Roman Inderst
- 34: Financing a portfolio of projects

- Roman Inderst, Holger Müller and Felix Münnich
- 33: Innovation, endogenous overinvestment, and incentive pay

- Roman Inderst and Manuel Klein
- 32: "Irresponsible lending" with a better informed lender

- Roman Inderst
- 31: Bank capital structure and credit decisions

- Roman Inderst and Holger Müller
- 30: Early-stage financing and firm growth in new industries

- Roman Inderst and Holger Müller
- 29: CEO replacement under private information

- Roman Inderst and Holger Müller