Huw Pill
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British economist
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Economics
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(Suggest an Edit or Addition)According to Wikipedia, Huw Pill is a Welsh economist, and the chief economist of the Bank of England since September 2021, succeeding Andy Haldane. Pill studied philosophy, politics and economics at University College, Oxford, and graduated in 1989. He earned a doctorate in economics from Stanford University in 1995.
Huw Pill's Published Works
Published Works
- Credible Liberalizations and International Capital Flows: The "Overborrowing Syndrome" (1996) (419)
- Monetary Policy in Exceptional Times (2010) (388)
- Credible Economic Liberalizations and Overborrowing (1997) (351)
- International Overborrowing: A Decomposition of Credit and Currency Risks (1998) (188)
- The ECB and the Interbank Market (2012) (178)
- EXCHANGE RATE REGIMES FOR EMERGING MARKETS: MORAL HAZARD AND INTERNATIONAL OVERBORROWING (1999) (150)
- Non-Standard Monetary Policy Measures and Monetary Developments (2010) (119)
- Money and Monetary Policy: The ECB Experience 1999-2006 (2006) (86)
- Financial Indicators and Financial Change in Africa and Asia (1995) (81)
- The overborrowing syndrome: are East Asian economies different? (1996) (57)
- Financial Liberalization in Africa and Asia (1997) (55)
- Framework and Tools of Monetary Analysis (2001) (53)
- Monetary analysis and monetary policy in the euro area 1999-2006 (2009) (43)
- Exchange-Rate Regimes for Emerging Markets (1999) (28)
- The Eurosystem's Operational Framework in the Context of the ECB's Monetary Policy Strategy (2001) (27)
- Non‐Standard Monetary Policy Measures (2010) (25)
- Real interest rates and growth: Improving on some deflating experiences (1997) (23)
- Central Bank Balance Sheets as Policy Tools (2012) (15)
- Exceptional Policies for Exceptional Times: The ECB's Response to the Rolling Crises of the Euro Area, and How it Has Brought Us Towards a New Grand Bargain (2014) (13)
- The Role of Foreign Currency Debt in Public Debt Management (1995) (12)
- Monetary Aggregation: A Reconciliation of Theory and Central Bank Practice (1994) (11)
- PARADIGM UNCERTAINTY AND THE ROLE OF MONETARY DEVELOPMENTS IN MONETARY POLICY RULES February (2002) (11)
- Monetary Analysis: The ECB Experience (2006) (10)
- The ECB's Monetary Policy Strategy: Responding to the Challenges of the Early Years of EMU (2002) (10)
- And Yet It Moves: Inflation and the Great Recession (2017) (9)
- Monetary policy frameworks after the great financial crisis (2013) (7)
- A Global Perspective on Inflation and Propagation Channels (2012) (7)
- The national segmentation of euro area bank balance sheets during the financial crisis (2017) (7)
- The forgotten markets: How understanding money markets helps us to understand the financial crisis (2010) (5)
- Central Banking after the Crisis: Challenges for the ECB (2013) (5)
- Monetary Policy Rules under Paradigm Uncertainty (2002) (4)
- Wet Lay Method (2005) (4)
- The Operational Framework of the Eurosystem in the Context of the ECB's Monetary Policy Strategy (2001) (4)
- Divisia Indices for Money: A Theoretical Appraisal (1993) (3)
- Evaluating target zone models in EMS data (1996) (3)
- Institutions, macroeconomics, and the global economy : casebook (2005) (2)
- WHY “ A PROMINENT ROLE FOR MONEY ” ? (2002) (2)
- Improving Models of Euro Area Money Demand (2010) (2)
- Welfare State and its Impact on Business Competitiveness, The: Sweden Inc. for Sale? (2002) (2)
- The Demand for M0 Revisited (1992) (2)
- The EU's 13th Directive on Takeover Bids: Unlucky for Some? (2002) (1)
- Japan’s bubble: Monetary stability and structural economic reform (2003) (1)
- Monetary Policy—‘Whatever It Takes within Our (New?) Mandate’ (2019) (1)
- World to Mexico--Get a Grip! (1996) (1)
- Monetary Analysis: Tools and Applications (2001) (1)
- Modeling Money Market Spreads: What Do We Learn About Refinancing Risk? (2014) (1)
- Institutions, Macroeconomics, and the Global Economy (2005) (1)
- FINANCIAL INDICATORS AND FINANCIAL CHANGE: A COMPARISON OF AFRICA AND ASIA / LES INDICES FINANCIERS ET LE CHANGEMENT: UNE COMPARAISON ENTRE AFRIQUE ET ASIE (2016) (1)
- European Monetary Union since 1848: A Political and Historical Analysis. By Wim F. V. Vanthoor · Brookfield, Vt.: Edward Elgar, 1996. 207 pp. Charts, tables, appendices, bibliography and index. $70.00. ISBN 1-8589-8461-0 (1997) (1)
- Introduction and Conceptual Framework (2005) (0)
- The Euro-Dollar Decision (A) (2003) (0)
- The Netherlands: Is the Polder Model Sinking? (2002) (0)
- The Global Economy: Globalization Meets National Institutions (2005) (0)
- The Political Economy of the Brexit Referendum (2016) (0)
- John Maynard Keynes: His Life, Times, and Writings (2002) (0)
- Communicating Statistics in the Context of Banking Union – A Macro User's Perspective (2015) (0)
- What to Expect from Structural Reform in the Euro Area (2014) (0)
- Financial Crisis in Asia: 1997-1998 (Abridged) (2008) (0)
- The ECB's Monetary Policy Strategy: Meeting the Challenges of the Early Years of EMU (2002) (0)
- Exceptional policies for exceptional times (2015) (0)
- The national segmentation of euro area bank balance sheets during the financial crisis (2017) (0)
- Europe: Data Supplement, 1950-2011 (2002) (0)
- Institutions: The Latin American Experience (2005) (0)
- The Future of Banking (2019) (0)
- Argentina's Financial System: The Case of Banco de Galicia (2002) (0)
- Macroprudential Policy And Monetary Policy: Some Lessons From The Euro Area (2011) (0)
- Comment on "Free Flows, Limited Diversification: Openness and the Fall and Rise of Stock Market Correlations, 1890-2001" (2010) (0)
- Macroeconomics: The Dynamics of European Union (2005) (0)
- Comment on “Free Flows, Limited Diversification: Openness and the Fall and Rise of Stock Market Correlations” (by D. Quaid and H-J. Voth) (2009) (0)
- Debt Restructuring Under the Brady Plan (1996) (0)
- Argentina: Data Supplement, 1990-2002 (2002) (0)
- Bolivia: Globalization, Sovereignty, or Democracy? (2002) (0)
- Europe in 1996 (1997) (0)
- The Overborrowing Syndrome and Economic Liberalization (2005) (0)
- ARGENTINE BANKS AND MACROECONOMIC RISK: OVERBORROWING AND CREDIT DYNAMICS (2002) (0)
- The Blair Wealth Project: Antecedents and Prospects (2002) (0)
- THE EURO AREA RECOVERY AND THE ROLE OF ECB POLICY (2014) (0)
- Waiting for Euro (2002) (0)
- Uganda and the Washington Consensus (1998) (0)
- A Decomposition of Credit and Currency Risks (1998) (0)
- Review of 'Globalizing Capital: A History of the International Monetary System' by Barry Eichengreen (1998) (0)
- Argentina's Financial System Fenced In (2003) (0)
- Review of 'European Monetary Integration since 1848: A Political and Historical Analysis' by Wim F.V. Vanthoor (1997) (0)
- 'Waiting for Euro': A Review of Economic Systems 25(3) (ed. B. Frensch) (2002) (0)
- Bahtulism, Collapse, Resurrection? Financial Crisis in Asia: 1997-1998 (1998) (0)
- Renewing Germany: Kohl's Legacy and Schroder's Dilemma (2002) (0)
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