Prof. Dr. Marc Peter Radke
Professor of International Economics
Dean of Studies MBA
International Business Management
Office hours
Mondays 1.00 - 2.30pm (by appointment only)
Curriculum Vitae
2012-present | Professor of International Economics, Hochschule Furtwangen University (HFU), HFU Business School |
2009-2012 | Head of Section, Deutsche Bundesbank, Economics Department, Monetary Policy and Analysis Division, Section: Analysis of the banking and financial sector from a monetary policy and macroeconomic perspective |
2005-2009 | Economist, Deutsche Bundesbank, Economics Department, Monetary Policy and Analysis Division, Section: Financial Accounts. Member in international working groups at the Organisation for Economic Co-operation and Development (OECD), the European Central Bank (ECB), and the statistical office of the European Union (Eurostat) |
2005-2000 | Doctoral degree in Economics (Dr. oec.), University of Hohenheim, Stuttgart, Germany. Doctoral scholarship holder of the postgraduate programme “Landesgraduiertenförderung” of the Federal State of Baden-Wuerttemberg. |
1999 | Diploma in Business Administration and Economics (Dipl. oec.), specialisation: Economics, University of Hohenheim, Stuttgart, Germany |
1994 | Bank Business Management Assistant Certificate (final degree of the apprenticeship in banking according to the German dual vocational education system), Dresdner Bank Stuttgart, and Kaufmännische Schule 1 Stuttgart, Germany |
Field of research and / or teaching
Current research fields
- Analysis of the impact of different monetary policy regimes ((i) monetary policy during the "Great Moderation" from 2000 to 2007, (ii) low interest rate policy from 2008 to 2021, and (iii) monetary policy in the stagflationary environment since 2022) and macroeconomic shocks (financial crisis, euro crisis, Covid-19, energy price shocks, etc.) on the asset and debt structure, gross and net asset returns, equity returns, portfolio behavior, and the wealth and income distribution of households in the euro area.
Teaching fields
- Microeconomics, macroeconomics, trade theory and policy, international macroeconomics, financial markets and banking, monetary theory and policy
Publications
Radke, Marc P.
2023 |
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Marc Peter Radke, Manuel Rupprecht | Die Last des Sparens: Renditekiller Inflation; Neue Berechnungen zeigen, wie stark die realen Vermögenserträge der Deutschen gesunken sind | Wirtschaftswoche, p. 42, 2023 | BibTeX | RIS |
2022 |
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Marc Peter Radke, Manuel Rupprecht | Inflation: Auswirkungen auf die reale Vermögens- und Eigenkapitalrendite | Zeitschrift für das gesamte Kreditwesen, 75.2022(11), pp. 560-565, 2022 | BibTeX | RIS |
Marc Peter Radke, Manuel Rupprecht | Werden die deutschen Sparer enteignet? | Handelsblatt, 2022 | BibTeX | RIS |
2021 |
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Marc Peter Radke, Manuel Rupprecht | Household Wealth: Low-Yielding and Poorly Structured? | Journal of Risk and Financial Management, 14.2021(3 Artikel 99), 2021 | BibTeX | RIS DOI URN |
Marc Peter Radke, Manuel Rupprecht | Rentensystem: Finanzbildung mildert Reformstau | Wirtschaftsdienst, 101.2021(10), p. 749, 2021 | BibTeX | RIS DOI |
2020 |
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Marc Peter Radke, Manuel Rupprecht | Droht das Ende der Rendite? Entwicklung der realen Gesamtvermögensrenditen | Zeitschrift für das gesamte Kreditwesen, 73.2020(5), pp. 244-248, 2020 | BibTeX | RIS |
Michael Andreasch, Marc Peter Radke, Manuel Rupprecht | Renditen privater Haushalte nach Vermögensgruppen – Deutschland versus Österreich | Wirtschaftsdienst, 100.2020(6), pp. 446-453, 2020 | BibTeX | RIS DOI |
2019 |
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Marc Peter Radke, Manuel Rupprecht | Hoffnungsträgerin Lagarde? Eher nicht | WirtschaftsWoche, p. 50, 2019 | BibTeX | RIS |
Marc Peter Radke, Manuel Rupprecht | The Bill, Please! Households' Real Returns on Financial Assets Since the Introduction of the Euro | Intereconomics, 54.2019(2), pp. 106-113, 2019 | BibTeX | RIS DOI |
2018 |
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Marc Peter Radke, Manuel Rupprecht | Was zehn Jahre Niedrigzinsen für die Sparer in Europa bedeuten | Börsen-Zeitung, p. 7, 2018 | BibTeX | RIS |
2011 |
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Deutsche Bundesbank | The performance of German credit institutions in 2010 | Monthly report / Deutsche Bundesbank, 63.2011(9), pp. 15-58, 2011 | BibTeX | RIS |
2010 |
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Deutsche Bundesbank | Germany in the financial and economic crisis : German banking system | Monthly report / Deutsche Bundesbank, 62.2010(10), pp. 32-36, 2010 | BibTeX | RIS |
Deutsche Bundesbank | Profitablity of German banks | Annual Report / Deutsche Bundesbank, pp. 101-103, 2010 | BibTeX | RIS |
Deutsche Bundesbank | The performance of German credit institutions in 2009 | Monthly report / Deutsche Bundesbank, 62.2010(9), pp. 17-48, 2010 | BibTeX | RIS |
2009 |
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Deutsche Bundesbank | Profitability of German banks | Annual Report / Deutsche Bundesbank, pp. 92-93, 2009 | BibTeX | RIS |
Deutsche Bundesbank | The German government’s "bad bank" model | Monthly report / Deutsche Bundesbank, 61.2009(5), pp. 54-57, 2009 | BibTeX | RIS |
Deutsche Bundesbank | The performance of German credit institutions in 2008 | Monthly report / Deutsche Bundesbank, 61.2009(9), pp. 33-62, 2009 | BibTeX | RIS |
2008 |
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Deutsche Bundesbank | Cornerstones of the Financial Market Stabilisation Act | Monthly report / Deutsche Bundesbank, 60.2008(11), pp. 30-31, 2008 | BibTeX | RIS |
Deutsche Bundesbank | Integrated sectoral and overall balance sheets for Germany | Monthly report / Deutsche Bundesbank, 60.2008(1), pp. 31-45, 2008 | BibTeX | RIS |
2007 |
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Oda Schmalwasser, Marc Peter Radke | German experiences in estimating households’ non-financial assets | OECD Working Party on National Accounts and Financial Statistics, 2-5 October 2007, Paris, 2007 | BibTeX | RIS |
2005 |
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Marc Peter Radke | Explaining Financial Crises : A Cyclical Approach | Peter Lang: Frankfurt am Main, 978-3-631-75437-5, 2005 | BibTeX | RIS 978-3-631-75437-5, DOI |