Giancarlo Corsetti
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Italian economist
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International Economics
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Economics
Giancarlo Corsetti's Degrees
- PhD Economics University of California, Berkeley
- Masters Economics University of California, Berkeley
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Why Is Giancarlo Corsetti Influential?
(Suggest an Edit or Addition)According to Wikipedia, Giancarlo Corsetti, is an Italian macroeconomist and Professor of Macroeconomics at the European University Institute in Florence. He is best known in academia for his work on open economy macroeconomics and international economics. In March 2017, the IDEAS/RePEc overall ranking put him as the most influential economist at Cambridge University where he was teaching at the time.
Giancarlo Corsetti's Published Works
Published Works
- What Caused the Asian Currency and Financial Crisis (1999) (1185)
- Some Contagion, Some Interdependence: More Pitfalls in Tests of Financial Contagion (2002) (835)
- Welfare and Macroeconomic Interdependence (1997) (823)
- Paper Tigers? a Model of the Asian Crisis (1998) (685)
- International Risk Sharing and the Transmission of Productivity Shocks (2004) (647)
- Excessive deficits: sense and nonsense in the Treaty of Maastricht. (1993) (537)
- What Caused the Asian Currency and Financial Crisis? Part I: a Macroeconomic Overview (1998) (504)
- Sovereign Risk, Fiscal Policy, and Macroeconomic Stability (2012) (391)
- What Determines Government Spending Multipliers? (2012) (358)
- Twin Deficits: Squaring Theory, Evidence and Common Sense (2006) (322)
- Optimal Monetary Policy in Open Economies (2010) (315)
- Does One Soros Make a Difference? A Theory of Currency Crises with Large and Small Traders (2001) (310)
- A macroeconomic model of international price discrimination (2005) (302)
- Fiscal Stimulus with Spending Reversals (2009) (301)
- International Lending of Last Resort and Moral Hazard: A Model of Imf&Apos;S Catalytic Finance (2003) (296)
- Household saving in developing countries : first cross-country evidence (1992) (253)
- International Risk-Sharing and the Transmission of Productivity Shocks (2005) (240)
- Mafia and Public Spending: Evidence on the Fiscal Multiplier from a Quasi-Experiment (2011) (212)
- Macroeconomics of International Price Discrimination (2002) (197)
- What Caused the Asian Currency and Financial Crisis? Part Ii: the Policy Debate (1998) (187)
- High exchange-rate volatility and low pass-through (2008) (175)
- Debt Consolidation and Fiscal Stabilization of Deep Recessions (2010) (172)
- Competitive devaluations: toward a welfare-based approach (2000) (165)
- Country Portfolios (2000) (164)
- The extensive margin and monetary policy (2008) (156)
- Pension Reform and Growth (1995) (141)
- Cross-Border Spillovers from Fiscal Stimulus (2009) (138)
- Self-Validating Optimum Currency Areas (2002) (133)
- Productivity, terms of trade and the 'home market effect' (2007) (131)
- Fiscal Deficits, Public Debt and Government Solvency: Evidence from OECD Countries (1991) (124)
- Social distancing and supply disruptions in a pandemic (2020) (114)
- Correlation Analysis of Financial Contagion: What One Should Know Before Running a Test (2001) (114)
- The 'Mystery of the Printing Press' Monetary Policy and Self-Fulfilling Debt Crises (2016) (113)
- Sovereign Risk and Belief-Driven Fluctuations in the Euro Area (2013) (110)
- European versus American Perspectives on Balanced-Budget Rules (1996) (105)
- Interpreting the ERM Crisis: Country-Specific and Systemic Issues (1998) (104)
- Stability, Asymmetry, and Discontinuity: The Launch of European Monetary Union (1999) (92)
- The International Dimension of Productivity and Demand Shocks in the US Economy (2008) (91)
- Optimal Government Spending and Taxation in Endgenous Growth Models (1996) (88)
- What Determines Government Spending Multipliers (2012) (88)
- Report on the European Economy (2004) (85)
- Floats, Pegs and the Transmission of Fiscal Policy (2011) (85)
- Financial Markets and European Monetary Cooperation: The Lessons of the 1992-93 Exchange Rate Mechanism Crisis (1998) (84)
- Environmental Toxicology and Pharmacology (2008) (81)
- The Role of Large Players in Currency Crises (2001) (81)
- DSGE Models of High Exchange-Rate Volatility and Low Pass-Through (2005) (78)
- A trust-driven financial crisis. Implications for the future of financial markets (2010) (76)
- The Mystery of the Printing Press: Self-Fulfilling Debt Crises and Monetary Sovereignty (2013) (75)
- Competitive Devaluations: A Welfare-Based Approach (1998) (70)
- The International Risk-Sharing Puzzle is at Business Cycle and Lower Frequency (2011) (63)
- Twin Deficits, Openness and the Business Cycle (2007) (62)
- A portfolio approach to endogenous growth: equilibrium and optimal policy (1997) (60)
- A Modern Reconsideration of the Theory of Optimal Currency Areas (2008) (58)
- Fiscal imbalances and the dynamics of currency crises (2006) (57)
- Traded and Nontraded Goods Prices, and International Risk Sharing: An Empirical Investigation (2011) (56)
- New Open Economy Macroeconomics (2007) (56)
- Paper tigers? A preliminary assessment of the Asian crisis ⁄ (1998) (53)
- Productivity Spillovers, Terms of Trade, and the 'Home Market Effect' (2005) (51)
- Comment on "Fundamental Determinants of the Asian Crisis: The Role of Financial Fragility and External Imbalances" (2001) (51)
- A new start for the Eurozone (2015) (51)
- Fundamental Determinants of the Asian Crisis (2001) (50)
- Fixed on Flexible: Rethinking Exchange Rate Regimes after the Great Recession (2017) (50)
- Macroeconomic Stabilization, Monetary-Fiscal Interactions, and Europe's Monetary Union (2016) (48)
- Towards a Theory of Firm Entry and Stabilization Policy (2005) (48)
- Financial Markets and European Monetary Cooperation (2001) (47)
- Openness and the Case for Flexible Exchange Rates (2006) (44)
- Tax Smoothing Discretion Versus Balanced Budget Rules in the Presence of Politically Motivated Fiscal Deficits: The Design of Optimal Fiscal Rules for Europe after 1992 (1992) (42)
- Varieties and the Transfer Problem: The Extensive Margin of Current Account Adjustment (2008) (42)
- How to Reform Europe’s Fiscal Policy Framework (2003) (41)
- Varieties and the transfer problem (2013) (40)
- Fiscal Crises, Confidence and Default A Bare-bones Model with Lessons for the Euro Area∗ (2011) (40)
- Correlation analysis of financial contagion (2011) (39)
- EEAG European Economic Advisory Group at CESifo: Report on the European Economy 2006 (2002) (38)
- Adjustment and growth in the European Monetary Union: The design of optimal fiscal rules for Europe after 1992 (1993) (38)
- Debt Sustainability and the Terms of Official Support (2018) (35)
- A Center-Periphery Model of Monetary Coordination and Exchange Rate Crises (1995) (35)
- Optimal Monetary Policy and the Sources of Local-Currency Price Stability (2007) (34)
- The Asian Financial Crisis: The Asian crisis: an overview of the empirical evidence and policy debate (1999) (34)
- An Endogenous Growth Model of Social Security and the Size of the Informal Sector (1994) (32)
- What Drives US Foreign Borrowing? Evidence on External Adjustment to Transitory and Permanent Shocks (2009) (29)
- Markets and Markup: A New Empirical Framework and Evidence on Exporters from China (2018) (29)
- Multilateral Economic Cooperation and the International Transmission of Fiscal Policy (2011) (28)
- Politically Motivated Fiscal Deficits: Policy Issues in Closed and Open Economies (1995) (28)
- The EEAG Report on the European Economy 2007 (2006) (28)
- Demand Imbalances, Exchange Rate Misalignment and Monetary Policy 1 (2009) (28)
- Reinforcing the Eurozone and Protecting an Open Society: Monitoring the Eurozone 2 (2016) (27)
- Interpreting the Asian Financial Crisis : Open Issues in Theory and Policy (1998) (27)
- Chapter 2: A New Crisis Mechanism for the Euro Area (2011) (26)
- Shadow rates and multiple equilibria in the theory of currency crises (2000) (26)
- Exchange Rate Misalignment, Capital Flows, and Optimal Monetary Policy Trade-Offs (2018) (25)
- ENDOGENOUS PASS-THROUGH AND OPTIMAL MONETARY POLICY: A MODEL OF SELF-VALIDATING EXCHANGE RATE REGIMES (2004) (25)
- Nominal Debt and the Dynamics of Currency Crises (2001) (24)
- Economic growth in the European Union (2006) (23)
- Beyond Competitive Devaluations: The Monetary Dimensions of Comparative Advantage (2015) (22)
- A fiscal perspective on currency crises and the 'original sin' ∗ (2005) (21)
- Official Sector Lending Strategies During the Euro Area Crisis (2017) (19)
- One money, many markets: a factor model approach to monetary policy in the Euro Area with high-frequency identification (2018) (19)
- Productivity Spillovers, Terms of Trade and the (2005) (18)
- Endogenous Exchange-Rate Pass-through and Self-Validating Exchange Rate Regimes (2015) (18)
- Financial markets and European monetary cooperation: The unfolding of the 1992–93 ERM crisis (1998) (17)
- Authors: The Members of the European Economic Advisory Group at CESifo (2006) (17)
- Life in the Eurozone With or Without Sovereign Default (2011) (16)
- International Competitiveness and Monetary Policy: Strategic Policy and Coordination with a Production Relocation Externality (2013) (16)
- Budget deficits, public sector solvency and political biases in fiscal policy: a case study of Finland (1996) (16)
- Stability , asymmetry and discontinuity : the outset of European Monetary Union (1999) (15)
- Sovereign Risk and the Effects of Fiscal Retrenchment in Deep Recessions (2011) (15)
- Policy Making and Speculative Attacks in Models of Exchange Rate Crises: A Synthesis (1996) (14)
- TESTING FOR SOLVENCY OF PUBLIC SECTOR: AN APPLICATION TO ITALY (1990) (14)
- Invoicing and Pricing-to-Market - A Study of Price and Markup Elasticities of UK Exporters (2018) (13)
- The International Risk Sharing Puzzle is at Business Cycle and Lower Frequency - L’Énigme Du Partage International Du Risque (2012) (13)
- One Money, Many Markets (2020) (12)
- Globalization in an Age of Crisis: Multilateral Economic Cooperation in the Twenty-First Century: Multilateral Economic Cooperation and the International Transmission of Fiscal Policy (2011) (12)
- Yield-curve movements and fiscal retrenchments (1997) (12)
- Chapter 2: The European Balance-of-Payments Problem (2012) (12)
- Yield-curve movements and fiscal retrenchments (1997) (12)
- Step Away from the Zero Lower Bound: Small Open Economies in a World of Secular Stagnation (2017) (12)
- Obstfeld and Rogo § ’ s International Macro Puzzles : A Quantitative Assessment (2016) (11)
- A perspective on empirical studies of contagion and interdependence (2000) (11)
- The Case for Flexible Exchange Rates in a Great Recession (2016) (10)
- Invoicing and the Dynamics of Pricing-to-Market: Evidence from UK Export Prices Around the Brexit Referendum (2018) (10)
- Optimal Monetary Policy and the Sources of Local-Currency Price Stability 1 (2007) (10)
- Consumption and Real Exchange Rates With Goods and Asset Markets Frictions 1 (2002) (9)
- EEAG Report on the European Economy 2010 (2014) (9)
- The effectiveness of fiscal policy depends on the financing and monetary policy mix (2009) (9)
- The Members of the European Economic Advisory Group at CESifo 2005 (2002) (9)
- Pass-Through and Exchange-Rate Fluctuations in a DSGE Model of Price (2004) (9)
- Current Account Theory and the Dynamics of Us Net Foreign Liabilities (2005) (8)
- Exchange Rate Volatility in Integrating Capital Markets (1990) (8)
- The Consumption Response to Liquidity-Enhancing Transfers: Evidence from Italian Earthquakes (2015) (8)
- Chapter 2: A trust-driven financial crisis (2010) (8)
- International dimensions of fiscal policy transmission (2007) (8)
- The Simple Geometry of Transmission and Stabilization in Closed and Open Economies [with Comments] (2007) (7)
- COVID-19 economic crisis (2020) (7)
- Invoicing and Pricing-to-market: Evidence on international pricing by UK exporters (2020) (7)
- Liquidity and Consumption: Evidence from Three Post-Earthquake Reconstruction Programs in Italy (2020) (7)
- Should We Worry about the Brain Drain (2003) (7)
- The(Past And) Future Of European Currencies (2000) (7)
- The Euro Crisis in the Mirror of the EMS: How Tying Odysseus to the Mast Avoided the Sirens but Led Him to Charybdis (2020) (7)
- The Exchange Rate Insulation Puzzle (2020) (7)
- Coeure Survey: Fiscal and Monetary Policies after the Crises (2016) (7)
- Fiscal consolidation as a policy strategy to exit the global crisis (2010) (7)
- Economic and Epidemiological Effects of Mandated and Spontaneous Social Distancing (2021) (6)
- The Macroeconomic Stabilization of Tariff Shocks: What is the Optimal Monetary Response? (2020) (6)
- Varieties and imbalances: the extensive margins of the current account adjustment (2008) (6)
- Optimal interest rate rules and exchange rate pass-through∗ (2000) (6)
- Chapter 4: Scandinavia today: An economic miracle? (2007) (6)
- Political Biases in Fiscal Policy: Reconsidering the Case for the Maastricht Fiscal Criteria (1995) (6)
- Exchange Rate Misalignment and External Imbalances: What is the Optimal Monetary Policy Response? (2020) (5)
- One Money, Many Markets: Monetary Transmission and Housing Financing in the Euro Area (2020) (5)
- The International Dimension of U.S. Expansions: A Structural VAR Analysis (2008) (5)
- THE ASIAN FINANCIAL CRISIS AND PROPOSALS FOR REFORM OF INTERNATIONAL FINANCIAL ARCHITECTURE (1999) (5)
- Breaking the deadlock: a path out of the crisis (2012) (5)
- Reinforcing the and protecting an open society : monitoring the Eurozone (2016) (4)
- Productivity and the dollar (2007) (4)
- Macroeconomics of International Price Discrimination 1 (2002) (4)
- EUROPEAN UNIVERSITY INSTITUTE, FLORENCE ROBERT SCHUMAN CENTRE FOR ADVANCED STUDIES PIERRE WERNER CHAIR PROGRAMME ON MONETARY UNION New Open Economy Macroeconomics (2007) (4)
- The Weakness of the Euro: Is it Really a Mystery? (2002) (4)
- Global warming: The neglected supply side (2008) (3)
- The Macroeconomic and Financial Landscape in the Aftermath of the 2007 Crisis: New Challenges and Perspectives (2011) (3)
- Debt Seniority and Sovereign Debt Crises (2018) (3)
- Chapter 5: The Hungarian Crisis (2012) (3)
- A Century of Arbitrage and Disaster Risk Pricing in the Foreign Exchange Market (2020) (3)
- The effects of globalisation on Western European jobs: Curse or blessing? (2008) (3)
- Chapter 3: Longer Working Hours - the Beginning of a new Trend? (2005) (3)
- Financial markets and European monetary cooperation: Financial markets and ERM credibility (1998) (3)
- Monetary policy in heterogeneous currency unions : Re ections based on a micro-founded model of Optimum Currency Areas (2005) (3)
- Unemployment, Hysteresis and Transition E U R O P E a N C E N T R a L B a N K Contents (3)
- Debt Crises, Fast and Slow (2020) (3)
- Introduction; Executive Summary (2002) (3)
- Chapter 4: Spain (2011) (3)
- Should Monetary Policy React to Current Account Imbalances (2009) (2)
- The Dynamics of the U . S . Net Foreign Liabilities An Empirical Characterization (2004) (2)
- Chapter 3: Greece (2011) (2)
- Official sector lending during the euro area crisis (2020) (2)
- A Perspective on the Euro – Why is the external value of the euro currently low? (2004) (2)
- Asset Prices and Risk Sharing. The Valuation Effects of Capital Market Integration (2019) (2)
- Sc Debt Sustainability Assessments : The state of the art Euro Area Scrutiny (2018) (2)
- A Portfolio Approach to Endogenous Growth: Eaton’s Model Revisited (1992) (2)
- The Home Market Effect and the International Transmission Mechanism (2004) (2)
- DEALING WITH DATA GAPS (2016) (2)
- to the Swedish Fiscal Policy Council 2015 / 2 Fiscal Multipliers : Lessons from the Great Recession for Small Open Economies (2015) (2)
- Uncertainty, policy and growth : a mean-variance approach (1992) (2)
- Chapter 3: The effect of globalisation on Western European jobs: curse or blessing? (2008) (2)
- The Elusive Gains from Nationally-Oriented Monetary Policy (2020) (2)
- Arbitrage mechanism leading to currency crises: a theoretical perspective (1997) (2)
- Productivity, External Balance, and Exchange Rates: Evidence on the Transmission Mechanism among G7 Countries [with Comments] (2006) (2)
- Sovereign risk and macroeconomic stability in the euro area (2013) (1)
- Consumption and Public Transfer: Evidence from Italian Quakes (2014) (1)
- The ‘hoc’ of international macroeconomics after the crisis (2012) (1)
- Chapter 3: Economic Growth in the European Union (2006) (1)
- The 2004 Enlargement: Key Economic Issues (2004) (1)
- Exchange-rate fluctuations and pass-through (2004) (1)
- Chapter 5: Taxation and Regulation of the Financial Sector (2011) (1)
- The Members of the European Advisory Group at CESifo 2004 (2004) (1)
- Chapter 5: Mergers and Competition Policy in Europe (2006) (1)
- Prices, Wages and Inflation after the Euro - What Europeans Shoud or Should not Expect (2002) (1)
- Chapter 3: Private Equity (2009) (1)
- Timing Fiscal Retrenchment in the Wake of Deep Recessions (2010) (1)
- Chapter 2: Outsourcing (2005) (1)
- The case for flexible exchange rates after the Great Recession (2019) (1)
- Chapter 2: How much real dollar depreciation is needed to correct global imbalances? (2008) (1)
- The riddle of eurozone inflation (Commentary by Thomas Eife) (2007) (1)
- Chapter 5: Tax competition (2007) (1)
- Chapter 4: France (2009) (1)
- Chapter 2: Macroeonomic adjustment in the euro area – the cases of Ireland and Italy (2007) (1)
- Growth and Productivity (2002) (1)
- Working Paper Series No : 2014 / 14 Cambridge Working Paper Economics : 1463 THE “ MYSTERY OF THE PRINTING PRESS ” MONETARY POLICY AND SELF-FULFILLING DEBT CRISES First Version : December 2012 (2016) (1)
- Chapter 5: Global warming: The neglected supply side (2008) (1)
- Chapter 4: The Swedish Model (2012) (1)
- The European economy: Macroeconomic outlook and policy (2006) (1)
- Exiting the crisis. (2010) (1)
- Chapter 1: The Macroeconomic Outlook (2011) (1)
- Fiscal and Monetary Policies after the Crises (2017) (1)
- Chapter 4: Industrial policy (2008) (1)
- Imperfect Banking Competition and Macroeconomic Volatility: A DSGE Framework (2020) (0)
- Chapter 1: The European Economy: Macroeconomic outlook (2010) (0)
- Rethinking Multilateral Policy Cooperation in the XXI Cent ury: What do we Know about Cross-border Effects of Fiscal Policy? (2011) (0)
- The European Economy: Current Situation and Economic Outlook (2002) (0)
- Chapter 1: The European Economy: Macroeconomic Outlook and Policy (2007) (0)
- Notes on International Contagion in Financial Markets (2004) (0)
- WP / 16 / 13 Estimating Fiscal Multipliers with Correlated Heterogeneity (2015) (0)
- Short and Variable Lags (2023) (0)
- Mergers and Competition Policy in Europe (2006) (0)
- Chapter 2: The Financial Crisis (2009) (0)
- What caused the system to crumble (1998) (0)
- Editorial Board (2008) (0)
- European Economic Advisory Group: Annual Report on the European Economy 2008 (2008) (0)
- Asset Values and Policy Changes: The Case of Denmark (1996) (0)
- Chapter 5: House Prices in Europe (2005) (0)
- Taxation and regulation of the financial sector (2011) (0)
- Chapter 1: The European Economy: Current Situation and Economic Outlook for 2005 (2005) (0)
- Gambling to Preserve Price (and Fiscal) Stability (2022) (0)
- Three Essays on Exchange Rate Pass-Through Aurora Ascione (2008) (0)
- Comments on “Obstfeld and Rogoff׳s international macro puzzles: a quantitative assessment” by J. Eaton, S. Kortum and B. Neiman (2016) (0)
- Globalization and the transmission mechanism 1 (2003) (0)
- Sharing Asymmetric Tail Risk: Smoothing, Asset Prices and Terms of Trade (2021) (0)
- DSGE models of high exchange rate volatibility (2006) (0)
- Assessing the Role of International and Domestic Financial Factors in the Sovereign Debt Structure – Workshop No. 12 (2007) (0)
- How to rebuild trust (2010) (0)
- From fiscal rescue to global debt (2010) (0)
- On the Welfare Implications of Financial Globalization without Financial Development [with Comments] (2007) (0)
- The Economics of Discrimination: Equity, Equality and Diversity in the New European Constitution (2004) (0)
- Working Paper / Document de travail 2008-23 On the Amplification Role of Collateral Constraints (2008) (0)
- Chapter 3: The new EU members (2007) (0)
- Chapter 2: Global Imbalances (2006) (0)
- Chapter 3: From Fiscal Rescue to Global Debt (2010) (0)
- Global imbalances : what changes with the crisis? (2009) (0)
- Book review: Comparing Financial Systems, by Franklin Allen and Douglas Gale, Cambridge and London: MIT Press, 2000 (2002) (0)
- Chapter 4: US adjustment needs (2010) (0)
- Firm Heterogeneity and the Two Sources of Gains from Trade Itai Agur (2006) (0)
- EliScholar – A Digital Platform for Scholarly Publishing at Yale EliScholar – A Digital Platform for Scholarly Publishing at Yale Impacts Of Ambient Temperature On Foodborne Salmonella Impacts Of Ambient Temperature On Foodborne Salmonella Infection Infection (2020) (0)
- Working Paper Series No : 2019 / 16 Cambridge Working Papers in Economics : 1970 FAST TRADING AND THE VIRTUE OF ENTROPY : EVIDENCE FROM THE FOREIGN EXCHANGE MARKET (2019) (0)
- Pensions and Children (2009) (0)
- Chapter 4: Pensions and Children (2005) (0)
- The Euro Crisis in the Mirror of the EMS: How Tying Odysseus to the Mast Avoided the Sirens but Led Him to Charybdis (2019) (0)
- Calmfors January 14 HOW TO REFORM EUROPE ́S FISCAL POLICY FRAMEWORK by (2003) (0)
- Financial markets and European monetary cooperation: Policy coordination and currency crises (1998) (0)
- Implications of the crisis for US adjustment needs (2010) (0)
- How damaging would a 'no-deal' Brexit be? (2018) (0)
- Fast Trading and the Virtue of Entropy: Evidence from the Foreign Exchange Market (2019) (0)
- Monetary Policy Challenges in a Global Economy : introduction to a Special Issue of the International Journal of Central Banking. (2010) (0)
- Discussion of “Did easy money in the Dollar Bloc fuel the Oil price run-up?” (2011) (0)
- Comment on "On the Welfare Implications of Financial Globalization without Financial Development" (2009) (0)
- Chapter 3: Banking Regulation (2012) (0)
- Welfare to Work (2002) (0)
- Chapter 6: Economic nationalism (2007) (0)
- Taxation and Risk-Taking Once Again. (With and Without Tax Revenue Disposal) (1992) (0)
- The financial crisis: Risks and challenges for the euro area (2010) (0)
- Modelling currency crises (1998) (0)
- Internal Devaluation and Macroeconomic Adjustment: Lessons from the Great Recession in the US (2017) (0)
- The EEAG Report on the European Economy 2008 : Europe in a Globalized world (2008) (0)
- crisis , exit , fiscal policy , redenomination premium , regime ‐ switching model and sovereign debt crisis (2015) (0)
- Monetary and Capital Markets Department What Determines Government Spending Multipliers ? Prepared by (2012) (0)
- Monetary Policy Lessons from the Global Crisis : introduction to a Special Issue of the International Journal of Central Banking (2011) (0)
- Prospects for education policy in Europe (2006) (0)
- Financial markets and European monetary cooperation: Exchange rate stability in Europe: A historical perspective (1998) (0)
- Chapter 5: Implications of the crisis for the euro area (2010) (0)
- The Global Crisis: Monetary Aspects (2010) (0)
- The European economy (2010) (0)
- Fig . 1 : Sovereign and Nonfinancial Corporate CDS Spreads (2012) (0)
- Financial markets and European monetary cooperation: A Center–Periphery model (1998) (0)
- Introduction: Foreword, Executive Summary (2003) (0)
- The financial crisis (2009) (0)
- The Simple Analytics of Assets' Values and Infrequent Policy Changes (1994) (0)
- EconomicDynamics Interview: Giancarlo Corsetti on Debt dynamics (2016) (0)
- The Single European Currency and the Process of European Integration (2008) (0)
- Chapter 4: Prospects for Education Policy in Europe (2006) (0)
- Monetary Policy Challenges in a Global Economy (2008) (0)
- Rebuilding the system: What next? (1998) (0)
- Productivity spillovers, real exchange rates, and the 'home market effect': elements for a general equilibrium analysis 1 (2004) (0)
- de Travail du Centre d ’ Economie de la Sorbonne External imbalances and collateral constraints in a two-country world (2009) (0)
- The Extensive Margin and Monetary Policy 1 (2008) (0)
- 10 Fiscal and Monetary Policies after the Crises (0)
- Fixed on flexible rethink exchange rate regimes after the Great Recession (2017) (0)
- What are the external e ¤ ects of US economic uctuations ? (2008) (0)
- Fiscal and Monetary Policy (2002) (0)
- Acceding Countries: The Road to the Euro (2009) (0)
- Chapter 6: Pricing Climate Change (2012) (0)
- Proceedings of the twenty-second annual congress of the European Economic Association : August 27-31, 2007 : Budapest, Hungary (2008) (0)
- Fixed on Flexible: Rethinking Exchange Rate Regimes after the Great Recession (2017) (0)
- Financial markets and European monetary cooperation: Unilateral pegs and escape clauses: The role of domestic credibility (1998) (0)
- What are the external eects of US economic ‡uctuations? 1 (2008) (0)
- Exchange Rate and Capital – Market Regimes : Effects on Macroeconomic Performance (2005) (0)
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