Jerome L. Stein
#141,700
Most Influential Person Now
Jerome L. Stein's AcademicInfluence.com Rankings
Jerome L. Steineconomics Degrees
Economics
#3088
World Rank
#3501
Historical Rank
Microeconomics
#113
World Rank
#118
Historical Rank

Download Badge
Economics
Jerome L. Stein's Degrees
- PhD Economics University of Chicago
- Bachelors Economics University of Chicago
Similar Degrees You Can Earn
Why Is Jerome L. Stein Influential?
(Suggest an Edit or Addition)Jerome L. Stein's Published Works
Number of citations in a given year to any of this author's works
Total number of citations to an author for the works they published in a given year. This highlights publication of the most important work(s) by the author
Published Works
- Behavior of the Firm Under Regulatory Constraint (1972) (935)
- Economic growth in a free market (1965) (531)
- The Simultaneous Determination of Spot and Futures Prices (1976) (411)
- Does fiscal policy matter (1976) (229)
- The real exchange rate (1990) (164)
- Fundamental Determinants of Exchange Rates (1996) (154)
- Equilibrium exchange rates (1999) (130)
- Stochastic Optimal Control, International Finance and Debt (2002) (124)
- Money and Capacity Growth (1966) (105)
- Optimal Debt and Equilibrium Exchange Rates in a Stochastic Environment: An Overview (2004) (93)
- United States Current Account Deficits: A Stochastic Optimal Control Analysis (2006) (84)
- Speculative Price: Economic Welfare and the Idiot of Chance (1981) (84)
- Monetary Growth Theory in Perspective (1970) (82)
- Stochastic Optimal Control Modeling of Debt Crises (2003) (81)
- A Tale of Two Debt Crises: A Stochastic Optimal Control Analysis (2008) (76)
- The Economics of Futures Markets (1987) (70)
- The Natural Real Exchange Rate of the United States Dollar, and Determinants of Capital Flows (1998) (69)
- Monetarist, Keynesian, and new classical economics (1982) (68)
- The Diversity of Debt Crises in Europe (2011) (63)
- The Transition Economies: A Natrex Evaluation of Research (2005) (61)
- Application of Stochastic Optimal Control to Financial Market Debt Crises (2009) (60)
- The Evolution of the Real Value of the US Dollar Relative to the G7 Currencies (1999) (59)
- Asian Crises: Theory, Evidence, Warning-Signals (2004) (58)
- A Critique of the Literature on the US Financial Debt Crisis (2010) (57)
- Methodological issues in asset pricing: Random walk or chaotic dynamics (1999) (56)
- Europe's postwar growth (1967) (56)
- Archaeal ubiquity. (1996) (54)
- The Effect of Rate of Return Regulation Is Highly Sensitive to the Nature of the Uncertainty (1976) (53)
- "Neoclassical" and "Keynes-Wicksell" Monetary Growth Models (1969) (52)
- Stochastic Optimal Control, International Finance, and Debt Crises (2006) (52)
- The Fundamental Determinants of the Real Exchange Rate of the U.S. Dollar Relative to Other G-7 Currencies (1995) (49)
- Recent developments in international finance: A guide to research (1997) (40)
- The Dynamics of the Real Exchange Rate and Current Account in a Small Open Economy: Australia (1998) (39)
- Unemployment, Inflation, and Monetarism (1974) (36)
- Postwar economic growth : four lectures (1965) (35)
- Shallow Versus Deep Uncertainties in Natural Hazard Assessments (2013) (35)
- The Optimum Quantity of Money (1969) (34)
- The Equilibrium Value of the Euro/$ Us Exchange Rate: An Evaluation of Research (2001) (33)
- Cobwebs, Rational Expectations and Futures Markets (1992) (32)
- The 1971 Report of the President's Council of Economic Advisers: Micro-Economic Aspects of Public Policy (1971) (28)
- Optimal Growth with Robust Feedback Control (1973) (28)
- Exchange Rate Misalignments and Crises (1999) (28)
- The nature and efficiency of the foreign exchange market (1964) (28)
- The Equilibrium Real Exchange Rate of Germany (1997) (27)
- Playing against Nature: Integrating Science and Economics to Mitigate Natural Hazards in an Uncertain World (2014) (26)
- Regional Growth and Maturity in the United States. A Study of Regional Structural Change (1962) (25)
- Inflation, employment and stagflation (1978) (25)
- International Growth with Free Trade in Equities and Goods (1977) (22)
- How good do natural hazard assessments need to be (2013) (22)
- The Dynamics of Spot and Forward Prices in an Efficient Foreign Exchange Market with Rational Expectations (1980) (20)
- Country Default Risk: An Empirical Assessment (2001) (19)
- Optimal Debt and Endogenous Growth in Models of International Finance (2005) (17)
- Introduction to 'Exchange Rates in Europe and Australasia: Fundamental Determinants, Adjustments and Policy Implications' (2003) (17)
- Rebuilding Tohoku: A joint geophysical and economic framework for hazard mitigation (2012) (17)
- Gray swans: comparison of natural and financial hazard assessment and mitigation (2014) (16)
- Stochastic Intertemporal Optimization in Discrete Time (2000) (15)
- A Minimal Role of Government in Achieving Optimal Growth (1969) (15)
- Enlargement and the Value of the Euro (2002) (14)
- Price Discovery Processes (1992) (13)
- Greenspan's Retrospective of Financial Crisis and Stochastic Optimal Control (2010) (13)
- The Fundamental Determinants of the real Exchange Rate of the US Dollar Relative to the G7 (1995) (13)
- Introduction: Equilibrium Exchange Rates (1999) (13)
- Destabilizing Speculative Activity Can be Profitable (1961) (12)
- The Forward Rate and the Interest Parity (1965) (11)
- A Theory of Interstate Differences in the Rates of Growth of Manufacturing Employment in a Free Market Area (1960) (9)
- Capital market integration (1990) (9)
- The crisis, Fed, Quants and stochastic optimal control (2011) (9)
- A Stochastic Optimal Control Approach to International Finance and Foreign Debt (1999) (9)
- Stabilization Policies in a Growing Economy (1969) (8)
- Money-financed Fiscal Policy in a Growing Economy (1980) (8)
- Can the central bank achieve price stability (1994) (7)
- International Financial Markets: Integration, Efficiency, and Expectations (1991) (7)
- Real Effects of Futures Speculation: Asymptotically Rational Expectations (1986) (7)
- The Diversity of Debt Crises (2011) (6)
- The Acceleration of Inflation (1979) (6)
- The Short-Run Stability of the Foreign Exchange Market (1967) (6)
- Interregional Comparisons of the Marginal Product of Capital (1958) (6)
- Applications of stochastic optimal control/dynamic programming to international finance and debt crises (2005) (5)
- The Rationality of Official Intervention in the Forward Exchange Market (1963) (5)
- Priorities and Pollution: Reply (1974) (5)
- A THEORETICAL EXPLANATION OF THE EMPIRICAL STUDIES OF FUTURES MARKETS IN FOREIGN EXCHANGE AND FINANCIAL INSTRUMENTS (1983) (5)
- Price Volatility and Speculation (1990) (4)
- An Evaluation of the Performance of Speculative Markets (1991) (4)
- The Predictive Accuracy of the Marginal Productivity Theory of Wages (1958) (4)
- INFLUENCE OF FIFTH-WHEEL LOCATION ON TRUCK RIDE QUALITY (1980) (4)
- On Regulation and Uncertainty: Reply (1979) (4)
- Monetarist, Keynesian and New Classical Economics. (1984) (4)
- A Method of Identifying Disturbances Which Produce Changes in Money National Income (1960) (3)
- Reply to McKenna and Zannoni (1984) (3)
- Formulating Natural Hazard Policies under Uncertainty (2013) (3)
- Introduction to special issue on ‘real and nominal exchange rates’ (1990) (3)
- Crisis of the 1980s (2012) (2)
- Optimal Investment-Consumption Models in International Finance (2002) (2)
- Alan Greenspan, the Quants and Stochastic Optimal Control (2010) (2)
- Oligopoly in Risk-Bearing Industries with Free Entry' (1963) (2)
- Inflation and stability: A comment on the Jonson and Taylor and Korteweg and Meltzer papers (1978) (2)
- Economic Growth in the West (1965) (2)
- Inside the Monetarist Black Box: Reply (1979) (2)
- The Real Exchange Rates of Germany (1994) (2)
- Optimal Stabilization Paths (1973) (2)
- The Globalization of Markets (1997) (1)
- Speculative Markets and Macroeconomic Controversy (1988) (1)
- Price Discovery in Asset Markets (1994) (1)
- The NATREX model of the equilibrium real exchange rate (2006) (1)
- Social welfare under fixed and flexible exchange rates: A comment on the Farber, Roll and Solnik paper (1977) (1)
- Conference on Money and Economic Growth: Introduction (1969) (1)
- Applicaton of Stochastic Optimal Control to Financial Market Debt Crises (2009) (1)
- Special Issue on Futures Markets: Price Discovery and Price Determination: Introduction (1992) (1)
- US Financial Debt Crisis: A Stochastic Optimal Control Approach (2011) (1)
- Forces Producing Disturbances in the Value of Output: A Reply (1962) (1)
- Financial Modelling: From Stochastics to Chaotics and Back to Stochastics (1996) (1)
- The globalization of markets : capital flows, exchange rates and trade regimes (1997) (1)
- Inter-temporal optimization in a stochastic environment: Introduction (2007) (1)
- Nature Bats Last (2014) (1)
- Optimal Capital Requirements for a Large Insurer/AIG: A Stochastic Optimal Control Approach (2010) (1)
- Greenspan, Dodd-Frank and Stochastic Optimal Control (2010) (1)
- Futures Markets: Their Establishment and Performance.@@@The Economics of Futures Markets.@@@The Economic Function of Futures Markets. (1988) (0)
- The equilibrium real value of the euro: An evaluation of research1 (2006) (0)
- A Tricky, High-Stakes Game (2014) (0)
- Stochastic intertemporal optimization: Long-term debt continuous time (2006) (0)
- Choosing Mitigation Policies (2014) (0)
- Country Debt Risk: A Stochastic Optimal Control Perspective (2000) (0)
- Ultrasonic‐intensity‐insonation‐duration thresholds for morphological damage to mammalian C.N.S. in vivo (1976) (0)
- Optimal Stabilization Policies (1971) (0)
- Failure of the Quants (2012) (0)
- Evaluation of tritium in ground and surface waters of the Western United States, April 1968-December 1969. (1972) (0)
- Communicating What We Know and What We Don't (2014) (0)
- CESifo Working Paper No . 469 April 2001 COUNTRY DEFAULT RISK : AN EMPIRICAL ASSESSMENT (2001) (0)
- Monetarism and the US economy: Reply (1982) (0)
- Working Paper Alan Greenspan , the quants and stochastic optimal control Economics (2010) (0)
- AIG in the Crisis (2012) (0)
- Application of Stochastic Optimal Control (SOC) to the US Financial Debt Crisis (2012) (0)
- Illiquidity And The Limits To Interest Arbitrage: Reply (1968) (0)
- What Changed Money Income? A Reply (1961) (0)
- Country default risk in emerging markets1 (2006) (0)
- When's the Next Earthquake? (2014) (0)
- Uncertainty and Probability (2014) (0)
- Contagion and Optimization in Financial Markets (2012) (0)
- Chapitre XII. Stochastic optimal control and the US financial debt crisis: An overview (2016) (0)
- Stochastic optimal control model of short-term debt1 (2006) (0)
- A Critique of Alan Greenspan’s Retrospective on the Crisis (2010) (0)
- Inflation and stagflation (1978) (0)
- Guessing the Odds (2014) (0)
- Country Debt Risk: A Stochastic Inter-temporal Optimization Approach (2001) (0)
- European Union: Convergence, Balanced Growth and the Steady State (1999) (0)
- When Nature Won (2014) (0)
- The Fed, IMF and Disregarded Warnings (2012) (0)
- Philosophy of Stochastic Optimal Control Analysis (SOC) (2012) (0)
- 変動相場制と世界経済--有効に機能する変動相場制--他国を左右しないアメリカのインフレ率(特別講義) (1983) (0)
- Monetary Theory.@@@Money and Capacity Growth. (1973) (0)
This paper list is powered by the following services:
What Schools Are Affiliated With Jerome L. Stein?
Jerome L. Stein is affiliated with the following schools: