Diskussionspapiere/ Discussion Papers (2018)

Constructing Joint Confidence Bands for Impulse Response Functions of VAR Models: A Review

Helmut Lütkepohl, Anna Staszewska-Bystrova, Peter Winker
Diskussionspapiere/ Discussion Papers (2018)

Intra-Household Risk Sharing and Job Search over the Business Cycle

Haomin Wang
Diskussionspapiere/ Discussion Papers (2018)

Monetary Policy and Inflation Dynamics in ASEAN Economies

Geraldine Dany-Knedlik, Juan Angel Garcia
Diskussionspapiere/ Discussion Papers (2018)

Interactions between Regulatory and Corporate Taxes: How Is Bank Leverage Affected?

Franziska Bremus, Kirsten Schmidt, Lena Tonzer
DIW Wochenbericht (37 / 2018)

Zehn Jahre Lehman-Crash: Erinnern ist der beste Schutz: Kommentar

Dorothea Schäfer
DIW Wochenbericht (34 / 2018)

Türkei-Krise ist vielleicht letzte Chance für Europa, eine Annäherung zu erreichen: Kommentar

Marcel Fratzscher, Alexander Kriwoluzky
Diskussionspapiere/ Discussion Papers (2018)

Macroeconomic Effects of Government Spending: The Great Recession Was (Really) Different

Mathias Klein, Ludger Linnemann
DIW Wochenbericht (30/31 / 2018)

Anzeichen für neue Immobilienpreisblase in einigen OECD-Ländern – Gefahr in Deutschland geringer

Konstantin A. Kholodilin, Claus Michelsen
List of Publications

The Department

Research activities of the macroanalysis department are focused on the investigation of economic relationships and policies at the national and international level. Current topics include the evolution of macroeconomic imbalances and the debt crisis in the euro area as well as the appropriate design of the fiscal and monetary crisis management. Research is also directed to explore the interdependencies between integrated financial markets and the real economy. In addition, adjustment patterns arising from the integration of emerging markets into the global economy are examined. Especially the Asian region will become increasingly important for the development of the world economy.

Change of name

1 June 2011: The department of "Macro Analysis and Forecasting" has changed its name to "Macroeconomics".

17 October 2018, DIW Seminar on Macroeconomics and Financial Markets

"A Schumpeterian Model of Top Income Inequality"

24 October 2018, DIW Seminar on Macroeconomics and Financial Markets

When and Why Can Forward Guidance De-anchor Expectations?

23 January 2019, DIW Seminar on Macroeconomics and Financial Markets

Monetary Policy Spillovers, Capital Controls and Exchange Rate Regimes, and the Financial Channel of Exchange Rates

List of Events