Publikationen
Ausgewählte Publikationen
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OeNB Report 2026/17Krieg im Nahen und Mittleren Osten führt zu deutlich erhöhter Inflation. Gesamtwirtschaftliche Prognose für Österreich 2026 bis 2028 vom Juni 2026. -
OeNB Policy Brief 2026/1Hohes Lohnwachstum in den vergangenen Jahren – niedrigere Abschlüsse in der laufenden Lohnrunde (Fenz, Reuter, Stiglbauer) -
OeNB Report 2026/16Economic trends in the Western Balkans, Moldova, Türkiye, Ukraine and Russia
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OeNB Report 2026/15Geringer CO2-Fußabdruck bei Krediten, jedoch hoher CO2-Fußabdruck bei Wertpapieren österreichischer Banken (Jun Chao Zhan)) -
OeNB Report 2026/13Haushalte setzen vermehrt auf Wertpapiere im Vermögensaufbau – Wertpapierinvestitionen übertreffen 2025 den Aufbau von Einlagen (Lisa Reitbrecht)
OeNB-Autorinnen und -Autoren
Fabio Rumler
International economics, macroeconomics and monetary policy, inflation and inflation expectations
Pirmin Fessler
Applied microeconometrics. Financial stability. Survey methodology. Household finance.
Alice Radzyner
EU integration. EU regional policy. EU structural and cohesion funds. EU migration.
Katharina Allinger
Financial stability and banking sector developments in CESEE. Digitalization in banking and Fintech. Household finance
Stefan Kerbl
Financial stability and Regulation, Risk quantification, Applied econometrics
Michael Sigmund
Industrial organization of banking. Panel econometrics. Modelling credit risk.
Julia Wörz
European economic integration and EU enlargement. Competitiveness, international trade. Macroeconomic forecasting
Andreas Breitenfellner
Climate Economics and Green Finance. Economic and Monetary Union. Macroeconomics and Structural Policies. Energy Prices and Inflation.
Robert Ferstl
Financial econometrics. Optimization under uncertainty. Scenario generation. Fixed income.
Stefan Kavan
Financial stability. Banking in Central, Eastern and Southeastern Europe (CESEE).
Thomas Zörner
Macroeconomics and Macroeconometrics. Credit and Business Cycles. Theory of Economic Dynamics. Monetary Policy
Claudia Kwapil
Monetary policy transmission. Interest rate pass through. Nominal rigidities.
Katharina Felbermayr
Qualitative (longitudinal) research and methods, Evaluation of financial literacy initiatives, Financial literacy, Inclusive schooling, Educational Transition and decision-making
Christian Alexander Belabed
Global economic developments & emerging markets (India, China), capital flows and deglobalization, global imbalances
Marion Pircher
International economics. Banking and financial markets. Macroeconomics. History of financial crises.
Aleksandra Riedl
Labor markets. Financial stability. Survey data. Business cycle synchronisation.
Paul Ramskogler
Geoeconomics and deglobalisation. International economics. Labor markets.
Theresa Lorenz
Quantitative and Mixed-Methods Evaluation Research, Financial Literacy and Financial Well-being, Survey data, methodology and large-scale assessments, Causal Inference
Tomáš Slacík
Long- and short-term forecasting. Early warning indicators for crises and financial (in)stability.
Helmut Stix
Household financial behavior. Dollarization (euroization). Money demand.
Nicolas Albacete
Financial stability. Household consumption and saving behavior.
Doris Prammer
Fiscal and tax policy.
Burkhard Raunig
Financial markets and the real economy. Empirical finance. Financial market volatility.
Maria Antoinette Silgoner
European integration. Internal and external imbalances. Competitiveness and trade.
Johannes Holler
Fiscal policy, European economic governance, public debt management. Historical debt crisis.