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Number of publications: 193
Date Title Author(s)
6 Feb, 2025 The Supply Chain Risks of Climate-Driven Natural Disasters
Policy Brief
1086

Gert Bijnens | National Bank of Belgium

Mariano Montoya | KU Leuven

Stijn Vanormelingen | KU Leuven

6 Feb, 2025 Nowcasting Made Easier: A Toolbox for Economists
Policy Brief
1083

Jan Linzenich | Humboldt University of Berlin

Baptiste Meunier | European Central Bank (ECB)

6 Feb, 2025 Fiscal policy as a driver of inflation in the euro area
Policy Brief
1082

Guido Ascari | De Nederlandsche Bank

Dennis Bonam | De Nederlandsche Bank

Lorenzo Mori | University of Padova

Andra Smadu | De Nederlandsche Bank

6 Feb, 2025 Evaluating Climate-Related Financial Policies with Machine Learning: Implications for Global Decarbonization
Policy Brief
1081

Paola D'Orazio | Technische Universität Chemnitz

Anh-Duy Pham | Osnabrück University

30 Jan, 2025 Policy considerations for managing the broad economic and financial repercussions of natural disasters
Policy Brief
1076

Sandra Eickmeier | Deutsche Bundesbank

Josefine Quast | Independent

Yves Schüler | Deutsche Bundesbank

24 Jan, 2025 For whom the bill tolls: redistributive consequences of a monetary-fiscal stimulus
Policy Brief
1073

Michal Brzoza-Brzezina | SGH Warsaw School of Economics

Julia Jablonska | SGH Warsaw School of Economics

Marcin Kolasa | SGH Warsaw School of Economics

Krzysztof Makarski | SGH Warsaw School of Economics

24 Jan, 2025 Forecasting regional banknote withdrawals and lodgements
Policy Brief
1072

Benedikt Sonnleitner | Fraunhofer IIS

Jelena Stapf | Deutsche Bundesbank

Kai Wulff | Deutsche Bundesbank

16 Jan, 2025 Sentiment fuels fear: on the transmission of social mood to market volatility
Policy Brief
1068

Stefano Borgioli | European Central Bank (ECB)

Giampiero M. Gallo | The Italian Court of Audits

Chiara Ongari | European Central Bank (ECB)

16 Jan, 2025 Financial market forecasts inflation at least as well as central bankers
Policy Brief
1067

Jetro Anttonen | Bank of Finland

Olli-Matti Laine | Bank of Finland

10 Jan, 2025 Uncertainty below the surface – what options tell us about the risks to bond yields and spreads
Policy Brief
1063

Gergely Hudecz | European Stability Mechanism (ESM)

Edmund Moshammer | European Stability Mechanism (ESM)

Marco Onofri | European Stability Mechanism (ESM)

19 Dec, 2024 Geopolitical Risks and Their Impact on Global Macro-Financial Stability: Literature and Measurements
Policy Brief
1057

Martin Hodula | Czech National Bank

Jan Janku | Czech National Bank

Simona Malovana | Czech National Bank

Ngoc Anh Ngo | University of Ostrava

12 Dec, 2024 From Policy to Capital: Assessing the Impact of Structural Reforms on Gross Capital Inflows
Policy Brief
1052

Christos Marvogiannis | European Investment Bank (EIB)

Athanasios Tagkalakis | Bank of Greece

5 Dec, 2024 The Use of Trimmed-Mean Measures of Inflation in Monetary Policy Making: Differences between Old and New World Central Banks
Policy Brief
1043

Tony Richards | Digital Finance Cooperative Research Centre

28 Nov, 2024 Strike while the Iron is Hot: Why Monetary Policy Should Be More Aggressive During High Inflation
Policy Brief
1041

Peter Karadi | European Central Bank (ECB)

Anton Nakov | European Central Bank (ECB)

Galo Nuño | Banco de España

Ernesto Pasten | Central Bank of Chile

Dominik Thaler | European Central Bank (ECB)

28 Nov, 2024 Credit strikes back: the macroeconomic impact of the 2022-23 ECB monetary tightening and the role of lending rates
Policy Brief
1037

Antonio M. Conti | Bank of Italy

Stefano Neri | Bank of Italy

Alessandro Notarpietro | Bank of Italy

21 Nov, 2024 Targeting inflation (more) flexibly
Policy Brief
1035

Piti Disyatat | Bank of Thailand

21 Nov, 2024 Learning to Forecast the Hard Way—Evidence from German Reunification
Policy Brief
1031

Thomas Triebs | Loughborough University

Justin Tumlinson | University of Exeter

14 Nov, 2024 How do Sectoral Elasticities Affect the Transmission of Monetary Shocks?
Policy Brief
1026

Ernil Sabaj | University of Warwick

7 Nov, 2024 Inputs in Distress: Geoeconomic Fragmentation and Firms’ Sourcing
Policy Brief
1022

Ludovic Panon | Bank of Italy

Laura Lebastard | European Central Bank (ECB)

Michele Mancini | Bank of Italy

Alessandro Borin | Bank of Italy

Peonare Caka | Bank of Slovenia

Gianmarco Cariola | Bank of Italy

Dennis Essers | National Bank of Belgium

Elena Gentili | Bank of Italy

Andrea Linarello | Bank of Italy

Tullia Padellini | Bank of Italy

Francisco Requena | University of Valencia

Jacopo Timini | Banco de España

31 Oct, 2024 A New Approach for Identifying Growth Accelerations
Policy Brief
1019

Bram Gootjes | The World Bank

Jakob de Haan | University of Groningen

Kersten Stamm | The World Bank

Shu Yu | The World Bank

24 Oct, 2024 Bank lending in an unprecedented monetary tightening cycle: Evidence from the euro area
Policy Brief
1014

Simone Auer | Bank of Italy

Antonio M. Conti | Bank of Italy

24 Oct, 2024 Impact of the US Presidential Race on the German Economy: Insights from Professional Forecasters
Policy Brief
1010

Alexander Glas | ZEW – Leibniz Centre for European Economic Research

Lora Pavlova | ZEW – Leibniz Centre for European Economic Research

Julius Theodor Schölkopf | Heidelberg University

17 Oct, 2024 Forecasting Energy Performance Certificates (EPC) ratings in Italy using machine learning techniques
Policy Brief
1005

Francesco Braggiotti | Datasinc

Nicola Chiarini | Datasinc

Giulio Dondi | Datasinc

Luciano Lavecchia | Bank of Italy

Valeria Lionetti | Bank of Italy

Juri Marcucci | Bank of Italy

Riccardo Russo | Bank of Italy

10 Oct, 2024 Household saving and consumption in Europe continue to follow traditional patterns
Policy Brief
1000

Matti Viren | University of Turku

10 Oct, 2024 Enhancing Financial Stability: The Role of Multiple Scenario
Policy Brief
999

David Aikman | King´s Business School

Romain Angotti | European Central Bank (ECB)

Katarzyna Budnik | European Central Bank (ECB)

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