Enrica Detragiache
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Why Is Enrica Detragiache Influential?
(Suggest an Edit or Addition)According to Wikipedia, Enrica Detragiache is the head of the Germany Desk of the International Monetary Fund , and the assistant director of the IMF's European division. She formerly taught Economics at Johns Hopkins University, and has published over 70 research papers and articles. Her research covers topics such as labour migration, financial crises, development economics, and corporate finance.
Enrica Detragiache's Published Works
Published Works
- The Determinants of Banking Crises in Developing and Developed Countries (1998) (1648)
- Does Deposit Insurance Increase Banking System Stability? An Empirical Investigation (1999) (1351)
- A New Database of Financial Reforms (2008) (1023)
- The Real Effect of Banking Crises (2005) (776)
- Multiple versus Single Banking Relationships: Theory and Evidence (2000) (749)
- Migration with endogenous moving costs. (1996) (628)
- Foreign Banks in Poor Countries: Theory and Evidence (2006) (599)
- Financial Liberalization and Financial Fragility (1998) (553)
- Bank Capital: Lessons from the Financial Crisis (2010) (492)
- Cross-Country Empirical Studies of Systemic Bank Distress: A Survey (2005) (484)
- How Big is the Brain Drain? (1998) (449)
- The Determinants of Banking Crises: Evidence from Developing and Developed Countries (1997) (435)
- Inside the Crisis: An Empirical Analysis of Banking Systems in Distress (1999) (326)
- Does Deposit Insurance Increase Banking System Stability? (2000) (317)
- Banking on the Principles: Compliance with Basel Core Principles and Bank Soundness (2006) (315)
- Monitoring Banking Sector Fragility: A Multivariate Logit Approach with an Application to the 1996-97 Banking Crises (1999) (307)
- How Extensive Is the Brain Drain (1999) (262)
- Crises and Liquidity: Evidence and Interpretation (2001) (257)
- Capital Account Liberalization: Theoretical and Practical Aspects (1998) (227)
- The Determinants of Banking Crises: Evidence from Industrial and Developing Countries (1997) (223)
- The Determinants of Banking Crises (1997) (199)
- Basel Core Principles and Bank Soundness: Does Compliance Matter? (2009) (195)
- Macroprudential Policies and Housing Prices-A New Database and Empirical Evidence for Central, Eastern, and Southeastern Europe (2012) (194)
- Monitoring Banking Sector Fragility A Multivariate Logit Approach (1999) (178)
- The Refugee Surge in Europe; Economic Challenges (2016) (149)
- Foreign Banks in Emerging Market Crises: Evidence from Malaysia (2004) (138)
- Cross-Country Empirical Studies of Systemic Bank Distress (2005) (133)
- Do Financial Sector Reforms Lead to Financial Development? Evidence from a New Dataset (2008) (118)
- Banking on the Principles; Compliance with Basel Core Principles and Bank Soundness (2006) (104)
- The Determinants of Banking Crises: Evidence from Developed and Developing Countries† (1997) (103)
- Finance in Lower-Income Countries: An Empirical Exploration (2005) (100)
- Analytical Aspects of the Debt Problems of Heavily Indebted Poor Countries (1996) (94)
- Multiple Versus Single Banking Relationships (1997) (81)
- Public versus Private Borrowing: A Theory with Implications for Bankruptcy Reform (1994) (80)
- Liberalizing capital movements : some analytical issues (1998) (69)
- Rational Liquidity Crises in the Sovereign Debt Market: In Search of a Theory (1996) (69)
- Bank Capital: Lessons from the Financial Crisis. Policy Research Working Paper 5473. (2010) (56)
- Monitoring Banking Sector Fragility (1999) (48)
- Foreign Banks in Emerging Market Crises : Evidence From Malaysia (2004) (42)
- Rules-Based Fiscal Policy in France, Germany, Italy, and Spain (2003) (41)
- Inside the Crisis: An Empirical Analysis of Banking System in Distress (2000) (40)
- Responding to Banking Crises: Lessons from Cross-Country Evidence (2010) (39)
- The German Labor Market Reforms and Post-Unemployment Earnings (2015) (36)
- HIPCs' Debt Review of the Issues (1997) (36)
- Basel Core Principles and Bank Risk: Does Compliance Matter? (2010) (35)
- Sensible buybacks of sovereign debt (1994) (31)
- Multiple vs. Single Banking Relationships: Theory and Evidence (1999) (31)
- Financial Reforms, Financial Openness, and Corporate Borrowing: International Evidence (2007) (29)
- Crises and Liquidity (2001) (26)
- Empirical Models of Short-Term Debt and Crises: Do They Test the Creditor Run Hypothesis? (2002) (26)
- Debt restructuring with multiple creditors and the role of exchange offers (1996) (25)
- Where Have All the Profits Gone? European Bank Profitability Over the Financial Cycle (2018) (25)
- The Refugee Surge in Europe (2016) (25)
- Macroprudential Policies and Housing Price : A New Database and Empirical Evidence for Central, Eastern, and Southeastern Europe (2012) (24)
- Banking sector reforms and corporate leverage in emerging markets (2013) (23)
- Exchange Rate-Based Stabilization in Western Europe: Greece, Ireland, Italy and Portugal (1997) (20)
- The Role of Multilateral Institutions in the Market for Sovereign Debt (1994) (20)
- Fiscal Adjustment and Official Reserves in Sovereign Debt Negotiations (1996) (18)
- Exits from Heavily Managed Exchange Rate Regimes (2005) (18)
- Bank Fragility and International Capital Mobility (1999) (15)
- Adverse selection and the costs of financial distress (1995) (15)
- Interest rates, official lending, and the debt crisis : a reassessment (1994) (15)
- Exchange Rate-Based Stabilization in Western Europe (1997) (14)
- Exchange Rate-Based Stabilization in Western Europe : Greece, Ireland, Italy and Portugal (1997) (11)
- Bank Capital: Lessons from the Crisis (2014) (11)
- Technology diffusion and international income convergence (1998) (9)
- Foreign Banks in Poor Countries (2006) (9)
- Banking on the Principles (2006) (8)
- Macroprudential Policies and Housing Price (2012) (7)
- Financial reforms, financial openness, and corporate debt maturity: International evidence ☆ (2015) (7)
- Optimal loan contracts and floating-rate debt in international lending to LDCs (1992) (7)
- Inside the Crisis (2000) (6)
- Foreign Banks in Emerging Market Crises (2004) (6)
- Responding to Banking Crises (2010) (5)
- The simple dynamics of a debt crisis (1992) (5)
- Financial Reforms, Financial Openness, and Corporate Borrowing (2007) (5)
- How Should Credit Gaps be Measured? An Application to European Countries (2020) (4)
- France: Selected Issues (2022) (4)
- Liberalizing Capital Movements:Some Analytical Issues: Aspects analytiques (1999) (3)
- Basel Core Principles and Bank Risk (2010) (3)
- Finance in Lower Income Countries (2005) (2)
- Sensible debt buybacks for highly indebted countries (1991) (2)
- A European Minimum Wage: Implications for Poverty and Macroeconomic Imbalances (2020) (2)
- Company Pension Plans, Stock Market Returns, and Labor Demand (2003) (2)
- Does the Structure of Production Affect Demand for Schooling in Peru? (1990) (2)
- Debt restructuring with Multiple Creditors: A Public Good Approach (1993) (2)
- [Work at high altitudes: risk factors and health surveillance]. (2012) (1)
- Debt Restructurings with Multiple Creditors (1994) (0)
- The World Bank Economic Review 14 (2), May 2000 (2000) (0)
- Bank capital and stock returns during the financial crisis (2011) (0)
- [Antitetanic vaccine in a population workers of Valle d'Aosta: fire volunteers department experience]. (2007) (0)
- Deposit insurance and moral hazard (2001) (0)
- Health surveillance for workers exposed to carcinogen and/or mutagenic substances at the workplace (2006) (0)
- How Do Domestic Financial Liberalization and Financial Openness Affect Corporate Leverage and Debt Maturity (2007) (0)
- Public debt management: theory and history: Discussion (1990) (0)
- Lessons from the Financial Crisis (2010) (0)
- Striving to Be "Clearly Open" and "Crystal Clear": Monetary Policy Communication of the CNB Prepared by Aleš Bulíř and Kateřina Šmídková 1 (2008) (0)
- Preliminary Comments welcome The Determinants of Banking Crises: Evidence from Developed and Developing Countries† by Asli Demirgüç-Kunt and Enrica Detragiache* (1997) (0)
- Credit Market Reforms and Corporate Debt Policy : International Evidence (2009) (0)
- Rational Liquidity Crises in the Sovereign Debt Market; In Search of a Theory (1996) (0)
- IDENTIFYING THE EFFECTS OF TRADE UNCERTAINTY ON INVESTMENT 6 A (2018) (0)
- Essays on external borrowing by less developed countries (1988) (0)
- T ABLE 7 Crisis Aftermath – Differences Among Banks Based on Return on Assets in the Crisis Year (2000) (0)
- Comments (2007) (0)
- Financial liberalization and financilal fragility (1998) (0)
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