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Number of items at this level: 67.

2021

Book, Simon und Peichl, Andreas (12. June 2021): "Etwas für Millionäre". In: Spiegel, Vol. 2021, No. 24: pp. 72-73

Peichl, Andreas; Allmendinger, Jutta; Falk, Armin; Hertwig, Ralph; Hinz, Thomas; Jungbauer-Gans, Monika; Kreyenfeld, Michaela; Lindenberger, Ulman; Mau, Steffen und Solga, Heike (3. July 2021): Das SOEP muss gestärkt werden. In: Frankfurter Allgemeine : Zeitung für Deutschland

2020

Peichl, Andreas und Deters, Jannik (10. May 2020): 'Corona senkt die Ungleichheit - aber nur kurzfristig'. In: wiwo.de (Wirtschaftswoche)

2018

Dürnecker, Georg und Herrendorf, Berthold (2018): On the allocation of time - A quantitative analysis of the roles of taxes and productivities. In: European Economic Review, Vol. 102: pp. 169-187

Fratzscher, Marcel; Kriwoluzky, Alexander; Schäfer, Stefan; Neyer, Ulrike; Illing, Gerhard und Issing, Otmar (2018): 20 Jahre Euro. Eine Erfolgsgeschichte? In: Wirtschaftsdienst, Vol. 98, No. 12: pp. 839-858

Illing, Gerhard; Ono, Yoshiyasu und Schlegl, Matthias (September 2018): Credit booms, debt overhang and secular stagnation. In: European Economic Review, Vol. 108: pp. 78-104

2017

Blanchard, Olivier und Illing, Gerhard (2017): Makroökonomie. 7., aktualisierte und erweiterte Auflage. Hallbergmoos: Pearson.

Illing, Gerhard; Ono, Yoshiyasu und Schlegl, Matthias (December 2017): Credit Booms, Debt Overhang and Secular Stagnation. CESifo Working Paper No. 6796,

2016

Blanchard, Olivier und Illing, Gerhard (2016): Makroökonomie. 6., aktualisierte und erweiterte Auflage. Hallbergmoos: Pearson.

Holtfrerich, Carl-Ludwig; Feld, Lars P.; Heun, Werner; Illing, Gerhard; Kirchgässner, Gebhard; Kocka, Jürgen; Schularick, Moritz; Streeck, Wolfgang; Wagschal, Uwe; Walter, Stefanie und Weizsäcker, Carl Christian von (August 2016): Government debt. Causes, effects and limits. 1. Auflage. Berlin: German National Academy of Sciences Leopoldina.

Illing, Gerhard und Siemsen, Thomas (1. March 2016): Forward Guidance at the Zero Lower Bound in a Model of Price-Level Targeting. In: Cesifo Economic Studies, Vol. 62, No. 1: pp. 47-67

Schlegl, Matthias; Illing, Gerhard und Ono, Yoshiyasu (December 2016): Asset Prices and Leverage in a Model of Persistent Stagnation. Jahrestagung des Vereins für Socialpolitik 2017: Alternative Geld- und Finanzarchitekturen. Session: Financial Frictions, Nr. D06-V3, Wien, 2017.

2013

Drometer, Marcus; Siemsen, Thomas und Watzka, Sebastian (2013): The Monetary Policy of the ECB: A Robin Hood Approach? CESifo Working Paper: Monetary Policy and International Finance,

Illing, Gerhard und Watzka, Sebastian (2013): Fiscal multipliers and their relevance in a currency union - A survey. In: German Economic Review

Schenkelberg, Heike und Watzka, Sebastian (2013): Real effects of quantitative easing at the zero lower bound: Structural VAR-based evidence from Japan. In: Journal of International Money and Finance, Vol. 33: pp. 327-357

Siemsen, Thomas und Watzka, Sebastian (2013): Fiscal Multipliers and the Choice of Zero Lower Bound Modeling. CESifo Working Paper,

Watzka, Sebastian (2013): The Effect of Household Debt Deleveraging on Unemployment Evidence from Spanish Provinces. Beiträge zur Jahrestagung des Vereins für Socialpolitik 2013: Wettbewerbspolitik und Regulierung in einer globalen Wirtschaftsordnung - Session: Financial Frictions and Business Cycles F02-V1

2012

Cao, Jin und Illing, Gerhard (2012): \"Interest Rate Trap\", or: Why does the central bank keep the policy rate too low for too long time? CESifo Working Paper: Monetary Policy and International Finance,

Jauch, Sebastian und Watzka, Sebastian (2012): The effect of household debt on aggregate demand: The case of Spain. CESifo Working Paper: Monetary Policy and International Finance,

Straubhaar, Thomas; Vöpel, Henning; Illing, Gerhard; Flassbeck, Heiner; Spiecker, Friederike; Bach, Stefan und Wagner, Gert G. (2012): Inflation und Schuldenabbau. In: Wirtschaftsdienst, Vol. 92, No. 9: pp. 583-598

2011

Cao, Jin und Illing, Gerhard (2011): Endogenous exposure to systemic liquidity risk. In: International Journal of Central Banking, Vol. 7, No. 2: pp. 173-216

Illing, Gerhard (2011): Stabilität durch Goldstandard? In: Wirtschaftsdienst, Vol. 91, No. 5: p. 292

Jauch, Sebastian und Watzka, Sebastian (2011): Financial development and income inequality. CESifo working paper: Fiscal Policy, Macroeconomics and Growth,

Kajuth, Florian und Watzka, Sebastian (2011): Inflation expectations from index-linked bonds: Correcting for liquidity and inflation risk premia. In: Quarterly Review of Economics and Finance, Vol. 51, No. 3: pp. 225-235

Missio, Sebastian und Watzka, Sebastian (2011): Financial contagion and the European debt crisis. CESifo Working Paper: Monetary Policy and International Finance,

2010

Cao, Jin und Illing, Gerhard (2010): Regulation of systemic liquidity risk. In: Financial Markets and Portfolio Management, Vol. 24, No. 1: pp. 31-48

2009

Englmaier, Florian; Illing, Gerhard und Sadka, Efraim (2009): Introduction to the Symposium on Executive Pay. In: CESifo Economic Studies, Vol. 55, No. 3-4: pp. 399-404

Hinze, Jörg; Straubhaar, Thomas; Dullien, Sebastian; Schettkat, Ronald und Illing, Gerhard (2009): Inflation oder Deflation? In: Wirtschaftsdienst, Vol. 89, No. 8: pp. 503-518

Illing, Gerhard (2009): Zentralbanken im Griff der Finanzmärkte. In: Wirtschaftsdienst, Vol. 89, No. 8: pp. 514-518

2008

Cao, Jin und Illing, Gerhard (21. April 2008): Endogenous Systemic Liquidity Risk. Discussion Papers in Economics 2008-9 [PDF, 418kB]

Cao, Jin und Illing, Gerhard (2008): Liquidity shortages and monetary policy. CESifo Working Paper,

Illing, Gerhard (2008): Financial stability and monetary policy: A framework. In: Touffut, Jean-Philippe und Artus, Patrick (eds.) : Central Banks as Economic Institutions. Cheltenham [u.a.]: Elgar. pp. 68-87

2007

Bersch, Julia und Klüh, Ulrich H. (19. November 2007): When countries do not do what they say: Systematic discrepancies between exchange rate regime announcements and de facto policies. Discussion Papers in Economics 2007-38 [PDF, 411kB]

Illing, Gerhard (2007): Editorial Announcement. In: CESifo Economic Studies, Vol. 53, No. 1

Illing, Gerhard (April 2007): Financial Stability and Monetary Policy - A Framework. [PDF, 250kB]

Illing, Gerhard (2007): Financial stability and monetary policy: a framework. CESifo Working Paper,

Watzka, Sebastian (2007): Essays in applied macroeconometrics. Unspecified

2005

Beetsma, Roel und Illing, Gerhard (2005): Revival of Aggregate Demand Policies. Introduction. In: CESifo Economic Studies, Vol. 51, No. 4: pp. 497-509 [PDF, 179kB]

Beetsma, Roel und Illing, Gerhard (2005): Revival of Aggregate Demand Policies - Introduction. In: CESifo Economic Studies, Vol. 51, No. 4: pp. 497-509

Illing, Gerhard und Klüh, Ulrich (2005): Vermögenspreise und Konsum: Neue Erkenntnisse, amerikanische Erfahrungen und europäische Herausforderungen. In: Perspektiven der Wirtschaftspolitik, Vol. 6, No. 1: pp. 1-22

Illing, Gerhard und Peitz, Martin (2005): Understanding the digital economy: Facts and theory introduction. In: CESifo Economic Studies, Vol. 51, No. 2-3: pp. 187-188

Vähämaa, Sami; Watzka, Sebastian und Äijö, Janne (2005): What moves option-implied bond market expectations?

2004

Illing, Gerhard (2004): Geldpolitik in den USA. Die Fed in der Zinsfalle? In: ifo Schnelldienst, No. 6 [PDF, 136kB]

Illing, Gerhard (March 2004): Nachfragestimulierung statt Strukturreform – mit gebührenfreiem Rezept aus der deutschen Krise? In: Wirtschaftsdienst. Zeitschrift für Wirtschaftspolitik, Vol. 84, No. 3: pp. 143-149 [PDF, 58kB]

Illing, Gerhard (October 2004): How to escape contagion in the interest rate trap. Second Conference of the Monetary Stability Foundation on Financial Stability and Globalisation, Frankfurt am Main, 3. Juni 2004. König, Reiner und Remsperger, Hermannn (eds.) : In: Financial stability and globalisation, Frankfurt am Main: Stiftung Geld und Währung. pp. 49-62 [PDF, 374kB]

Illing, Gerhard (2004): Financial Fragility, Bubbles and Monetary Policy. In: Sinn, Hans-Werner; Widgrén, Mika und Köthenbürger, Marko (eds.) : European Monetary Integration. Cambridge: MIT Press. pp. 141-169 [PDF, 145kB]

2003

Illing, Gerhard (2003): Editorial. In: CESifo Economic Studies, Vol. 49, No. 1: ii

2002

Goodhart, Charles A. E. und Illing, Gerhard (2002): Introduction. In: Illing, Gerhard und Goodhart, Charles A. E. (eds.) : Financial Crises, Contagion and the Lender of Last Resort. Oxford: Oxford University Press. pp. 1-26

Heinemann, Frank und Illing, Gerhard (2002): Speculative Attacks. Unique Sunspot Equilibrium and Transparency. In: Journal of International Economics, Vol. 58, No. 2: pp. 429-450 [PDF, 316kB]

Heinemann, Frank und Illing, Gerhard (2002): Speculative attacks: Unique equilibrium and transparency. In: Journal of International Economics, Vol. 58, No. 2: pp. 429-450

Illing, Gerhard (2002): Development and characterisation of polyaniline-based composite membranes for gas-separation.

2000

Illing, Gerhard (March 2000): Bailing in the private sector. On the adequate design of international bond contracts. [PDF, 49kB]

Illing, Gerhard (2000): Bailing in the private sector - On the adequate design of international bond contracts. In: Intereconomics, Vol. 35, No. 2: pp. 64-71

1998

Illing, Gerhard (June 1998): Gradualism vs Cold Turkey. How to establish credibility for the ECB. [PDF, 92kB]

Illing, Gerhard (1998): Gradualism vs Cold Turkey: How to establish credibility for the ECB. Frankfurter Volkswirtschaftliche Diskussionsbeiträge,

Illing, Gerhard (1998): Herausforderungen an die Europäische Zentralbank. In: Wirtschaftsdienst, Vol. 78, No. 8: pp. 491-500

1997

Illing, Gerhard (1997): [Rezension zu) Huber, Bernd: Optimale Finanzpolitik und zeitliche Inkonsistenz. Eine theoretische Analyse. Heidelberg, 1995. In: FinanzArchiv, Vol. N.F. 54: pp. 136-138

1993

Illing, Gerhard (1993): Property Rights and Regulation of Environmental Quality under Asymmetric Information. In: Jahrbücher für Nationalökonomie und Statistik, Vol. 211, No. 5-6: pp. 385-402

1992

Bauer, Antonie und Illing, Gerhard (1992): Debt-for-nature swaps: Axing the debt instead of the forests. In: Intereconomics, Vol. 27, No. 1: pp. 9-15

Illing, Gerhard (1992): Neue Keynesianische Makroökonomie. Schriften zur angewandten Wirtschaftsforschun, Vol. 56. Tübingen: Mohr. [PDF, 15MB]

Illing, Gerhard (1992): Aggregate Shocks under Imperfect Competition. In: Jahrbücher für Nationalökonomie und Statistik, Vol. 209, No. 5-6: pp. 458-470

Illing, Gerhard (1992): Private Information as Transaction Costs: The Coase Theorem Revisited. In: Journal of institutional and theoretical economics : JITE, Vol. 148, No. 4: pp. 558-576

1991

Böventer, Edwin von; Beutel, Jörg; Illing, Gerhard; John, Heimo Jürgen; Koll, Robert und Matzka, Rudolf (1991): Einführung in die Mikroökonomie. 7., durchgesehene und verbesserte Auflage. München: Oldenbourg. [PDF, 19MB]

Böventer, Edwin von; Illing, Gerhard und Koll, Robert (1991): Mikroökonomie. Studien- und Arbeitsbuch. 3., überarbeitete Auflage. München, Wien: Oldenbourg. [PDF, 9MB]

1990

Illing, Gerhard (1990): Multiplier effects in economies with missing risk markets. In: Journal of Economics / Zeitschrift für Nationalökonomie, Vol. 52, No. 1: pp. 55-70

1986

Illing, Gerhard (1986): [Rezension zu] M.C. Kemp and N.V. Long, Editors, Essays in the Economics of Exhaustible Resources, North-Holland, Amsterdam (1984). In: European Journal of Political Economy, Vol. 2, No. 1: pp. 137-139

1985

Illing, Gerhard (1985): Geld und asymmetrische Information. Studies in contemporary economics. Dissertation, Ludwig-Maximilians-Universität München
[PDF, 13MB]

This list was generated on Mon Oct 7 19:06:54 2024 CEST.