Graciela Kaminsky
Professor of Economics and International Affairs
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Economics
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(Suggest an Edit or Addition)According to Wikipedia, Graciela Kaminsky is a professor of economics and international affairs at George Washington University and a faculty research associate at the National Bureau of Economic Research. Kaminsky studied economics at the Massachusetts Institute of Technology where she received her Ph.D. In 1984 she did a brief research stay at the Argentine Central Bank, later in 1985 she moved to San Diego as an assistant professor at the University of California. In 1992 she worked on the board of governors of the US Federal Reserve System, later in 1998 she was appointed a full professor at George Washington University, where she works at the Elliot School of International Affairs. Kaminsky has been a visiting scholar at the Bank of Japan, the Bank of Spain, the Federal Reserve Bank of New York, the Hong Kong Monetary Authority, and the Central Bank of France.
Graciela Kaminsky's Published Works
Published Works
- The Twin Crises: The Causes of Banking and Balance-of-Payments Problems (1996) (5327)
- Leading Indicators of Currency Crises (1997) (2250)
- On crises, contagion, and confusion (2000) (1218)
- The Unholy Trinity of Financial Contagion (2003) (656)
- Short-Run Pain, Long-Run Gain: The Effects of Financial Liberalization (2002) (516)
- What Triggers Market Jitters? A Chronicle of the Asian Crisis (1999) (511)
- Emerging Markets Instability: Do Sovereign Ratings Affect Country Risk and Stock Returns? (1999) (423)
- Financial crises in Asia and Latin America: Then and now (1998) (335)
- Currency and Banking Crises: The Early Warnings of Distress (1998) (331)
- Managers, Investors, and Crises: Mutual Fund Strategies in Emerging Markets (1999) (302)
- Short-Run Pain, Long-Run Gain: Financial Liberalization and Stock Market Cycles (2007) (253)
- Short-Run Pain, Long-Run Gain: The Effects of Financial Liberalization (Abstract ) (2003) (246)
- Does Foreign Exchange Intervention Signal Future Monetary Policy? (1993) (239)
- Currency and Banking Crises; The Early Warnings of Distress (1999) (234)
- Emerging Market Instability : Do Sovereign Ratings Affect Country Risk and Stock Returns ? (2002) (230)
- Nominal exchange rate regimes and the real exchange rate: Evidence from the United States and Great Britain, 1885-1986 (1991) (218)
- Mutual Fund Investment in Emerging Markets: An Overview (1999) (204)
- Currency crises: Are they all the same?☆ (2006) (178)
- Is There a Peso Problem? Evidence from the Dollar/Pound Exchange Rate, 1976-1987 (1993) (166)
- Financial crises, credit ratings, and bank failures : emerging market instability - do sovereign ratings affect country risk and stock returns? (2002) (139)
- Can a time-varying risk premium explain excess returns in the forward market for foreign exchange? (1990) (124)
- Bank Lending and Contagion: Evidence from the Asian Crisis (2001) (120)
- Varieties of Currency Crises (2003) (117)
- Financial Markets in Times of Stress (2001) (112)
- Emerging Markets and Financial Globalization Sovereign Bond Spreads in 1870-1913 and Today (2007) (74)
- Short-Run Pain, Long-Run Gain (2003) (63)
- Systemic and Idiosyncratic Sovereign Debt Crises (2014) (59)
- The debt crisis: Lessons of the 1980s for the 1990s (1996) (54)
- Terms of Trade Shocks and Fiscal Cycles (2010) (47)
- Short- and Long-Run Integration: Do Capital Controls Matter? (1999) (46)
- Efficiency in Commodity Futures Markets (1989) (45)
- The twin crises (2001) (44)
- International Capital Flows, Financial Stability and Growth (2005) (44)
- Financial markets in time of stress (2002) (41)
- Latin America&Apos;S Access to International Capital Markets: Good Behavior or Global Liquidity? (2007) (37)
- Crises and Sudden Stops: Evidence from International Bond and Syndicated-Loan Markets (2008) (36)
- Has the Nature of Crises Changed? A Quarter Century of Currency Crises in Argentina (1999) (29)
- Economic Fragility, Liquidity, and Risk: The Behavior of Mutual Funds during Crises (2000) (28)
- Thirty Years of Currency Crises in Argentina: External Shocks or Domestic Fragility? (2009) (26)
- The Center and the Periphery: Tales of Financial Turmoils (2000) (25)
- Currency and Banking Crises (1999) (24)
- High Real Interest Rates in the Aftermath of Disinflation: Is It a Lack of Credibility (1998) (23)
- Las crisis gemelas: las causas de los problemas bancarios y de balanza de pagos [The twin crises: Te causes of banking and balance of payments problems] (2000) (21)
- Two Hundred Years of Contagion (2002) (20)
- Debt relief and debt rescheduling: The optimal-contract approach (1991) (19)
- Emerging Market Instability (2012) (17)
- Bank Lending and Contagion (2001) (16)
- The Debt Crisis : Lessons of the 1980s for the 1990s (1994) (15)
- Credibility crises: the dollar in the early 1980s (1991) (14)
- On Crises , Contagion , and Confusion 1 (1999) (11)
- Rating the Rating Agencies (2000) (11)
- Volatility in International Financial Market Issuance: The Role of the Financial Center (2006) (11)
- Time Varying Risk Premia in Futures Markets (1990) (9)
- High Real Interest Rates in the Aftermath of Disinflation : Is It a Lack of Credibility? (1996) (9)
- The Real Exchange Rate and Fiscal Policy During the Gold Standard Periodevidence from the United States and Great Britain (1994) (8)
- Mutual Fund Investment in Emerging Markets (2012) (7)
- The Center and the Periphery: Two Hundred Years of International Borrowing Cycles (2017) (7)
- Economic Policy without Political Context: Guido, 1962–3 (1989) (7)
- Boom-Bust Capital Flow Cycles (2019) (6)
- Methodology for an Early Warning System: The Signals Approach (2000) (6)
- Emerging markets finance : Overview of the special issue (6)
- Nominal Exchange Rate Regimes and the Real Exhange Rate, Evidence from the U.S. And Britain, 1885-1986 (1989) (6)
- A New Era of International Financial Integration: Global, Market, and Regional Factors (2006) (6)
- Dual Exchange Rates: the Mexican Experience, 1982–7 (1997) (5)
- INFLATION REGIMES AND STABILISATION POLICIES: SPAIN 1962-2001 (2003) (5)
- High real interest rates in the aftermath of disinflation: actual or expected? (1993) (4)
- A Switching-Regime Model for the Spanish Inflation: 1962-1997 (1998) (4)
- Financial globalization in the 19th century: Germany as a financial center (2009) (4)
- Early Warning System: An Assessment of Vulnerability (2000) (4)
- Crisis financieras en Asia y Latinoamerica: ahora y entonces [Financial Crises in Asia and Latin America Different: Then and Now] (2000) (4)
- Uncertainty, expectations of devaluation, and the real exchange rate (1986) (4)
- Notes on contagion (2000) (4)
- International Borrowing Cycles: A New Historical Database (2016) (3)
- Early Warning System: Empirical Results from The Signals Approach (2000) (2)
- Essays on expectations and real exchange rate variability (1982) (2)
- World Bank Economic Review 16 (2), May 2002 (2002) (2)
- The Wake of Crises and Devaluations (2000) (1)
- Financial Crises in Asia and Latin America Different: Then and Now (2000) (1)
- Financial turmoil: Systemic or regional? (2002) (1)
- Assessing Financial Vulnerability in Emerging Economies: A Summary of Empirical Results (2000) (1)
- The dollar/pound real exchange rate and fiscal policy during the gold standard period (1997) (1)
- Some Policy Issues Regarding an Early Warning System (2000) (1)
- Rating Agencies and Financial Markets (2002) (1)
- NBER WORKING PAPER SERIES DOES TRADE CAUSE CAPITAL TO FLOW? EVIDENCE FROM HISTORICAL RAINFALLS (2011) (0)
- Globalization in the Periphery: Monetary Policy: What is Gained, What is Lost (2016) (0)
- Terms of Trade Shocks and Fiscal Cycles | Conference – 2009 (2009) (0)
- Unexploited Gains from International Diversification: Evidence from the Mutual Fund Industry (2009) (0)
- Financial Globalization and Exchange Rate Arrangements (2008) (0)
- Financial Crises with Immediate International Repercussions : 1980 – 2000 (2004) (0)
- Social laws for labor humanization and their consequences for forestry and lumbering enterprises (1977) (0)
- International Capital Flows to Emerging Countries: Short- and Long-run Effects (2008) (0)
- Bosnia and Herzegovina - Social Sector Technical Assistance Credit (2004) (0)
- World Bank Economic Review 15 (2), May 2001 (2001) (0)
- ECONOMIC AND FINANCIAL INSTABILITY PERIODS INDUCED THROUGH THE BANKING SYSTEM (0)
- The Financial Center Leverage Cycle: Does it Spread Around the World? (2020) (0)
- Part II OPTIMAL EXCHANGE RATE POLICY FOR STABILIZING INFLATION IN DEVELOPING COUNTRIES (1997) (0)
- The Asian Crises: A New Breed or Déjà Vu? (1999) (0)
- Methodology and Empirical Results (2017) (0)
- Country Risk: The Bane of Foreign Investors by Norbert Gaillard (2021) (0)
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