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Manuel Buchholz
Manuel Buchholz
Verified email at bundesbank.de
Title
Cited by
Cited by
Year
Uncertainty, bank lending, and bank-level heterogeneity
CM Buch, M Buchholz, L Tonzer
IMF Economic Review 63 (4), 919-954, 2015
93*2015
Sovereign Credit Risk Co‐Movements in the Eurozone: Simple Interdependence or Contagion?
M Buchholz, L Tonzer
International finance 19 (3), 246-268, 2016
552016
Do conventional monetary policy instruments matter in unconventional times?
M Buchholz, K Schmidt, L Tonzer
Journal of Banking & Finance 118, 105858, 2020
132020
Monetary policy through exchange rate pegs: The removal of the Swiss franc‐Euro floor and stock price reactions
G von Schweinitz, L Tonzer, M Buchholz
International Review of Finance, 2020
6*2020
How effective is macroprudential policy during financial downturns? Evidence from caps on banks' leverage
M Buchholz
Bank of Estonia Working Papers, 2015
52015
Firm‐specific forecast errors and asymmetric investment propensity
M Buchholz, L Tonzer, J Berner
Economic Inquiry, 2021
4*2021
Why macroprudential policy matters in a monetary union
CM Buch, M Buchholz, K Knoll, B Weigert
Oxford Economic Papers 73 (4), 1604-1633, 2021
12021
Im Fokus: Die Entwicklung der Kernkapitalquoten der deutschen Banken seit der Finanzkrise
M Buchholz, F Noth
Wirtschaft im Wandel 20 (3), 44-45, 2014
12014
Deposit facility rate, bank reserves, and portfolio reallocation incentives
M Buchholz, K Schmidt, L Tonzer, SP Note
2019
Essays on the Stability and Regulation of International Financial Markets
M Buchholz
Eberhard Karls Universität Tübingen, 2017
2017
Risikobewertung von Staatsanleihen im Euroraum während der Staatsschuldenkrise von Ansteckungseffekten getrieben
M Buchholz, L Tonzer
Wirtschaft im Wandel 21 (1), 4-7, 2015
2015
Deleveraging-Potenzial im deutschen Bankensystem und Auswirkungen auf die Finanzstabilität 12/2021
M Pelzer, N Barasinska, M Buchholz, S Friedrich, S Geiger, N Hristov, ...
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Articles 1–12