Publikationen
Publikationen Dr. Felix Hüfner
- OECD Economic Surveys (with co-autors): Denmark 2006, Sweden 2007, Germany 2008 & 2010, Slovakia 2009 & 2010.
- "The German Banking System: Lessons from the Financial Crisis", OECD Economics Department Working Paper, No. 788, 2010
- (with I. Koske) "Explaining household saving rates in G7 countries: Implications for Germany", OECD Economics Department Working Paper, No. 754, 2010
- "Why has Swedish inflation been persistently low?", OECD Economics Department Working Paper, No. 560, 2007.
- (with J. Lundsgaard) "The Swedish housing market - better allocation via less regulation", OECD Economics Department Working Paper, No. 559, 2007.
- (zus. mit F. Heinemann) "Is the view from the Eurotower purely European? - National Divergence and ECB Interest Rate Policy", Scottish Journal of Political Economy 51/2004 (4), 544-558.
- (zus. mit K. Heppke-Falk) "Expected budget deficits and interest rate swap spreads - Evidence for France, Germany and Italy", Bundesbank Discussion Paper 40/2004.
- "Foreign Exchange Intervention as a Monetary Policy Instrument", ZEW Economic Studies, Bd. 23, 2004, Heidelberg/New York.
- (zus. mit M. Schröder) "Exchange Rate Pass-Through to Consumer Prices: A European Perspective", Aussenwirtschaft 58/2003, Heft III, 383-411.
- (zus. mit F. Heinemann) "Is the View from the Eurotower Purely European? - National Divergence and ECB Interest Rate Policy", ZEW Discussion Paper 02-69, October 2002.
- (zus. mit M. Schröder) "Forecasting Economic Activity in Germany - How Useful are Sentiment Indicators?", ZEW Discussion Paper 02-56, September 2002.
- (zus. mit M. Schröder) "Exchange Rate Pass-Through to Consumer Prices: A European Perspective", ZEW Discussion Paper 02-20, March 2002.
- (zus. mit M. Schröder) "Forecasting German Industrial Production Using ifo- and ZEW-Business Expectations: An Econometric Comparison", Jahrbücher für Nationalökonomie und Statistik, vol.222/3 (2002), 316-336.
- (zus. mit M. Meitner, V. Kleff, E. Lehmann und E. Lüders) "Bilanzskandale und Börsencrash: Neue Herausforderungen an die Aktienanalyse", Finanz-Betrieb 09/2002, 537-540.
- (zus. mit M. Meitner und V. Kleff) "Enron: Wirtschaftsprüfer, Bilanzierungsvorschriften und der deutsche Aktienmarkt", KoR - Zeitschrift für kapitalmarktorientierte Rechnungslegung, 3/2002, 139-141.
- (zus. mit A. Lepp and A. Winkler) "Turkey - Financial Sector Study", Report prepared for IFC (International Finance Corporation), Washington, D.C., April 2001.
- (zus. mit Jens Köke) "Handel in osteuropäischen Aktien: Status Quo und Perspektiven", Finanzplatz Deutschland e.V., Positionspapier.