Climate change poses huge challenges for the financial sector, too. The Bundesbank supports the transition to a low-carbon economy.
Information on the project Digital Euro
The Bundesbank provides a new procedure for the automated download of statistical data sets. The web service offers an interface for programmatic access.
The new statistics portal presents time series, real-time data, and other statistical data in a modern, user-friendly layout. The time series database is scheduled to be replaced on June 30, 2026.
Here you will find information on the bank sort code file and on the bank sort code update service. You can also download the bank sort code files.
In the press area, you will find press releases, speeches, guest contributions and interviews with Bundesbank Executive Board members as well as further press materials.
This section contains Bundesbank studies and conference papers. It also includes publications resulting from the research activities of Bundesbank staff and visiting researchers.
Information on work with a special value
2024 | International Review of Financial Analysis, Vol. 95, 103475.
2022 | Financial Markets and Portfolio Management (formerly: Finanzmarkt und Portfolio Management), Vol. 36(3), pp. 267-296.
2021 | GERMAN Economic Review, Vol. 22(1), pp. 63-95.
2021 | Credit and Capital Markets (Kredit und Kapital), Vol. 54(4), pp. 641-668.
2020 | Review of Financial Economics, Vol. 38(4), pp. 674-686.
2018 | GERMAN Economic Review, Vol. 19(3), pp. 330-350.
2018 | Schmalenbach Business Review, Vol. 70(3), pp. 231-253.
2017 | Credit and Capital Markets, Vol. 50(3), pp. 363-392.
2016 | Schmalenbach Business Review, Vol. 17(1), pp. 25-48.
2016 | Financial Markets and Portfolio Management (formerly: Finanzmarkt und Portfolio Management), Vol. 30(4), pp. 371-396.
2015 | Journal of Financial Stability, Vol. 16, pp. 232-247.
2015 | Journal of Banking and Finance, Vol. 54, pp. 1-19.
2014 | Quantitative Finance, Vol. 14(6), pp. 1059-1068.
2013 | Journal of Financial Stability, Vol. 9(1), pp. 46-54.
2013 | Financial Markets and Portfolio Management, Vol. 27(3), pp. 275-297.
2012 | International Journal of Central Banking, Vol. 8(3), pp. 177-206.
2012 | European Financial Management, Vol. 18(4), pp. 602-619.
2012 | Journal of Banking and Finance, Vol. 36(8), pp. 2403-2415.
2011 | Journal of Banking and Finance, Vol. 35, pp. 282-289.
2011 | Journal of Risk, Vol. 14(1), pp. 3-40.
2010 | Journal of Financial Intermediation, Vol. 19, pp. 509-528.
2010 | Journal of Econometrics, Vol. 159(2), pp. 289-302.
2008 | Schmollers Jahrbuch, Vol. 128, pp. 321-328.
2008 | International Journal of Banking, Accounting and Finance, Vol. 1(1), pp. 85-104.
2006 | Journal of Banking Regulation, Vol. 7(3/4), pp. 310-325.
2006 | Schmalenbach Business Review, Vol. 58, pp. 332-348.
2003 | Finance Letters, Vol. 1, pp. 21-23.
2003 | Die Betriebswirtschaft, Vol. 63, pp. 516-531.