Joshua Aizenman
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Israeli-American economist
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Joshua Aizenman's Degrees
- Bachelors Economics Tel Aviv University
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(Suggest an Edit or Addition)Joshua Aizenman's Published Works
Published Works
- International Reserves: Precautionary Versus Mercantilist Views, Theory and Evidence (2005) (755)
- What is the Risk of European Sovereign Debt Defaults? Fiscal Space, CDS Spreads and Market Pricing of Risk (2011) (392)
- Volatility and Investment: Interpreting Evidence from Developing Countries (1999) (370)
- Policy Uncertainty, Persistence and Growth (1991) (350)
- International Reserve Holdings with Sovereign Risk and Costly Tax Collection (2002) (288)
- The emerging global financial architecture: Tracing and evaluating new patterns of the trilemma configuration (2010) (280)
- FDI and Trade - Two Way Linkages? (2005) (273)
- Current Account Patterns and National Real Estate Markets (2008) (234)
- Military expenditure, threats, and growth (2003) (223)
- Inflation Targeting and Real Exchange Rates in Emerging Markets (2008) (221)
- Financial versus Monetary Mercantilism: Long-Run View of Large International Reserves Hoarding (2006) (218)
- Assessing the Emerging Global Financial Architecture: Measuring the Trilemma&Apos;S Configurations Over Time (2008) (217)
- Monetary Policy Spillovers and the Trilemma in the New Normal: Periphery Country Sensitivity to Core Country Conditions (2015) (206)
- The Credit Crunch in East Asia: What Can Bank Excess Liquid Assets Tell Us? (1999) (200)
- The Transmission of Federal Reserve Tapering News to Emerging Financial Markets (2014) (189)
- Sources for Financing Domestic Capital - is Foreign Saving a Viable Option for Developing Countries? (2004) (189)
- Capital Flows and Economic Growth in the Era of Financial Integration and Crisis, 1990–2010 (2011) (184)
- The 'Impossible Trinity' Hypothesis in an Era of Global Imbalances: Measurement and Testing (2012) (177)
- The collection efficiency of the Value Added Tax: Theory and international evidence (2005) (173)
- Sterilization, Monetary Policy, and Global Financial Integration (2008) (159)
- Using Inflation to Erode the U.S. Public Debt (2009) (150)
- Optimal Wage Indexation, Foreign-Exchange Intervention and Monetary Policy (1984) (149)
- Managing economic volatility and crises : a practitioner's guide (2005) (141)
- International Reserves Management and Capital Mobility in a Volatile World: Policy Considerations and a Case Study of Korea (2004) (136)
- Contagion and Volatility with Imperfect Credit Markets (1997) (124)
- Selective Swap Arrangements and the Global Financial Crisis: Analysis and Interpretation (2009) (122)
- Macroeconomic uncertainty and private investment (1993) (119)
- Exchange Market Pressure and Absorption by International Reserves: Emerging Markets and Fear of Reserve Loss During the 2008-09 Crisis (2010) (118)
- Surfing the Waves of Globalization: Asia and Financial Globalization in the Context of the Trilemma (2009) (115)
- On the Hidden Links between Financial and Trade Opening (2003) (114)
- Macroeconomic Adjustment with Segmented Labor Markets (1994) (113)
- Endogenous Financial and Trade Openness (2004) (111)
- Institutional Efficiency, Monitoring Costs, and the Investment Share of FDI (2002) (111)
- Aspects of the Optimal Management of Exchange Rates (1981) (108)
- International Reserves and Swap Lines: Substitutes or Complements? (2010) (107)
- Adjustment Patterns to Commodity Terms of Trade Shocks: The Role of Exchange Rate and International Reserves Policies (2011) (101)
- Real Exchange Rate and International Reserves in an Era of Growing Financial and Trade Integration (2006) (101)
- Large Hoarding of International Reserves and the Emerging Global Economic Architecture (2007) (100)
- Economic Growth with Constraints on Tax Revenues and Public Debt: Implications for Fiscal Policy and Cross-Country Differences (2007) (97)
- Sovereign Wealth Funds: Stylized Facts about their Determinants and Governance* (2008) (95)
- International Reserves Before and after the Global Crisis: Is There No End to Hoarding? (2014) (93)
- Domestic and Multilateral Effects of Capital Controls in Emerging Markets (2015) (92)
- Globalization and Taste Convergence: The Cases of Wine and Beer (2005) (86)
- Exchange Rate Flexibility, Volatility, and Domestic and Foreign Direct Investment (1992) (85)
- The Financial Crisis and Sizable International Reserves Depletion: From &Apos;Fear of Floating&Apos; to the &Apos;Fear of Losing International Reserves&Apos;? (2009) (85)
- Volatility, Employment and the Patterns of FDI in Emerging Markets (2002) (84)
- The Internationalization of Venture Capital and Private Equity (2008) (83)
- The internationalization of venture capital (2012) (80)
- The Competitive Externalities and the Optimal Seignorage (1989) (77)
- Financial Opening: Evidence and Policy Options (2002) (77)
- Why Do Emerging Markets Liberalize Capital Outflow Controls? Fiscal Versus Net Capital Flow Concerns (2013) (71)
- Exchange Market Pressure in OECD and Emerging Economies: Domestic vs. External Factors and Capital Flows in the Old and New Normal (2015) (70)
- Developing countries’ financial vulnerability to the eurozone crisis: an event study of equity and bond markets (2016) (70)
- Aid Volatility and Poverty Traps (2007) (69)
- Monetary and Real Shocks, Productive Capacity and Exchange Rate Regimes (1994) (69)
- Financial Development and Output Growth in Developing Asia and Latin America: A Comparative Sectoral Analysis (2015) (67)
- Real Exchange Rate, Mercantilism and the Learning by Doing Externality (2008) (67)
- Optimal tax and debt policy with endogenously imperfect creditworthiness (1996) (65)
- Exchange Rate Flexibility, Volatility and the Patterns of Domestic and Foreign Direct Investment (1992) (65)
- Accounting for Global COVID-19 Diffusion Patterns, January–April 2020 (2020) (61)
- Trilemma Policy Convergence Patterns and Output Volatility (2012) (60)
- Volatility and the Investment Response (1996) (60)
- Credit Ratings and the Pricing of Sovereign Debt During the Euro Crisis (2013) (59)
- Globalization and the Sustainability of Large Current Account Imbalances: Size Matters (2008) (59)
- Financial Opening and Development: Evidence and Policy Controversies (2004) (58)
- Managing Volatility and Crises: A Practitioner's Guide Overview (2004) (58)
- Real Estate Valuation, Current Account and Credit Growth Patterns, Before and after the 2008-9 Crisis (2013) (57)
- Determinants of Financial Stress and Recovery During the Great Recession (2010) (55)
- Country Risk, Incomplete Information and Taxes on International Borrowing (1989) (54)
- Sovereign wealth funds: stumbling blocks or stepping stones to financial globalization? (2007) (51)
- Financial Sector Ups and Downs and the Real Sector in the Open Economy: Up by the Stairs, Down by the Parachute (2013) (51)
- Fundamentals and Sovereign Risk of Emerging Markets (2013) (49)
- The Impossible Trinity (aka The Policy Trilemma) (2010) (49)
- Pegged Exchange Rate Regimes -- a Trap? (2005) (48)
- Financial Liberalizations in Latin-America in the 1990s: A Reassessment (2005) (47)
- Federal Reserve Bank of San Francisco, Working Paper Series (2007) (47)
- Volatility and the Welfare Costs of Financial Market Integration (1998) (47)
- Financial Trilemma in China and a Comparative Analysis with India (2012) (46)
- Volatility and Financial Intermediation (1997) (46)
- From the Great Moderation to the Global Crisis: Exchange Market Pressure in the 2000s (2010) (46)
- Buffer stocks and precautionary savings with loss aversion (1998) (45)
- A Theory of Optimum Currency Areas: Revisited (1992) (45)
- THE IMPOSSIBLE TRINITY — FROM THE POLICY TRILEMMA TO THE POLICY QUADRILEMMA (2013) (45)
- Supply Shocks, Wage Indexation and Monetary Accommodation (1985) (45)
- The Relationship between Structural Change and Inequality: A Conceptual Overview with Special Reference to Developing Asia (2012) (43)
- Endogenous Pricing to Market and Financing Costs (2000) (43)
- De Facto Fiscal Space and Fiscal Stimulus: Definition and Assessment (2010) (43)
- Inflation, Tariffs and Tax Enforcement Costs (1985) (42)
- A Modern Reincarnation of Mundell-Fleming's Trilemma (2018) (41)
- Living with the Trilemma Constraint: Relative Trilemma Policy Divergence, Crises, and Output Losses for Developing Countries (2013) (41)
- Capital Controls, Collection Costs, and Domestic Public Debt (1990) (40)
- The Interest Rate Effect on Private Saving: Alternative Perspectives (2016) (40)
- Volatility, Investment and Disappointment Aversion (1995) (40)
- Contagion, Bank Lending Spreads, and Output Fluctuations (1998) (39)
- Modeling Deviations from Purchasing Power Parity (PPP) (1984) (39)
- The Fiscal Stimulus of 2009–2010: Trade Openness, Fiscal Space, and Exchange Rate Adjustment (2011) (38)
- Financial Crisis and the Paradox of Under- and Over-Regulation (2009) (38)
- Adjustment to Monetary Policy and Devaluation Under Two-Tier and Fixed Exchange Rate Regimes (1983) (38)
- Capital Flow Types, External Financing Needs, and Industrial Growth: 99 Countries, 1991-2007 (2011) (35)
- Endogenous Financial Openness: Efficiency and Political Economy Considerations (2003) (35)
- Designing EU-US Atlantic Monetary Relations: The Impact of Exchange Rate Variability on Labor Markets on both Sides of the Atlantic (2002) (35)
- International Reserves Management and the Current Account (2006) (35)
- Managing Economic Volatility and Crises (2011) (34)
- Fiscal Space and Government-Spending & Tax-Rate Cyclicality Patterns: A Cross-Country Comparison, 1960-2016 (2018) (34)
- Sovereign Wealth Funds: Stylized Facts About Their Determinants and Governance (2008) (34)
- Reserve Requirements on Sovereign Debt in the Presence of Moral Hazard - on Debtors or Creditors? (1999) (33)
- Optimal Currency Area: A twentieth Century Idea for the twenty-first Century? (2018) (33)
- Managing Financial Integration and Capital Mobility — Policy Lessons from the Past Two Decades (2011) (32)
- Central Banks and Gold Puzzles (2012) (32)
- Macroeconomic Adjustment and the History of Crises in Open Economies (2012) (32)
- On the Complementarity of Commercial Policy, Capital Controls and Inflation Tax (1985) (30)
- Financial Spillovers and Macroprudential Policies (2017) (30)
- Endogenous Financial and Trade Openness: Efficiency and Political Economy Considerations (2004) (29)
- Pandemic shocks and fiscal-monetary policies in the Eurozone: COVID-19 dominance during January–June 2020 (2020) (29)
- Income Inequality, Tax Base and Sovereign Spreads (2012) (29)
- Takeoffs (2007) (29)
- Trade Reforms, Credibility, and Development (1991) (28)
- The Financial Crisis, Rethinking of the Global Financial Architecture, and the Trilemma (2010) (28)
- Author ' s personal copy What is the risk of European sovereign debt defaults ? Fiscal space , CDS spreads and market pricing of risk q (2013) (28)
- Monopolistic Competition, Relative Prices and Output Adjustment in the Open Economy (1989) (27)
- Net Fiscal Stimulus During the Great Recession (2011) (26)
- On the Paradox of Prudential Regulations in the Globalized Economy: International Reserves and the Crisis a Reassessment (2009) (26)
- Capital Flows: Catalyst or Hindrance to Economic Takeoffs? (2011) (26)
- Capital Mobility in a Second-Best World: Moral Hazard with Costly Financial Intermediation (1998) (26)
- Chinese Outwards Mercantilism – the Art and Practice of Bundling (2015) (26)
- The life cycle of scholars and papers in economics – the ‘citation death tax’ (2008) (25)
- The Currency Composition of International Reserves, Demand for International Reserves, and Global Safe Assets (2019) (25)
- Investment in New Activities and the Welfare Cost of Uncertainty (1995) (24)
- Wage Flexibility and Openness (1983) (24)
- Opposition to FDI and financial shocks (2005) (23)
- Balance Sheet Effects on Monetary and Financial Spillovers: The East Asian Crisis Plus 20 (2016) (23)
- Soft Budget Constraints, Taxes, and the Incentive to Cooperate (1990) (22)
- External Shocks, Bank Lending Spreads, and Output Fluctuations (2007) (22)
- Foreign exchange reserves in East Asia: why the high demand? (2003) (22)
- The impossible trinity (aka the policy Trilemma): The encyclopedia of financial globalization (2010) (22)
- Internationalization of the RMB, Capital Market Openness and Financial Reforms in China (2015) (21)
- The political economy of public savings and the role of capital mobility (1998) (21)
- Sargent-Wallace Meets Krugman-Flood-Garber, or: Why Sovereign Debt Swaps Don't Avert Macroeconomic Crises (2002) (21)
- The Eurocrisis: Muddling through, or on the Way to a More Perfect Euro Union? (2014) (21)
- The Impact of Inflation on Budgetary Discipline (1995) (20)
- Central bank swap arrangements in the COVID-19 crisis (2021) (19)
- Financial Sector Inefficiencies and Coordination Failures: Implications for Crisis Management (1999) (19)
- Flexibility of Adjustment to Shocks: Economic Growth and Volatility of Middle-Income Countries Before and After the Global Financial Crisis of 2008 (2017) (19)
- Trade Dependency, Bargaining and External Debt (1988) (18)
- Global Imbalances: Is Germany the New China? A Skeptical View (2011) (18)
- Optimal wage re-negotiation in a closed and open economy (1984) (17)
- The USA as the ‘Demander of Last Resort’ and the Implications for China's Current Account (2008) (17)
- Emerging Markets Sovereign Spreads and Country-Specific Fundamentals During COVID-19 (2020) (17)
- Financial Versus Monetary Mercantilism (2006) (17)
- Inflation and Exchange Rate Targeting Challenges Under Fiscal Dominance (2019) (17)
- Emerging markets sovereign CDS spreads during COVID-19: Economics versus epidemiology news (2020) (17)
- Optimal Currency Area: A 20th Century Idea for the 21st Century? (2016) (16)
- Fiscal Fragility: What the Past May Say About the Future (2010) (16)
- International Portfolio Diversification with Generalized Expected Utility Preferences (1997) (16)
- Investment, Openness, and Country Risk (1987) (16)
- Testing Deviations from Purchasing Power Parity (PPP) (1984) (15)
- China’s Growth, Stability, and Use of International Reserves (2013) (15)
- The “Impossible Trinity,” The International Monetary Framework, and the Pacific Rim (2014) (15)
- Externalities, Incentives and Failure to Achieve National Objectives in Decentralized Economies (1991) (15)
- Financial Sector Inefficiencies and the Debt Laffer Curve (2002) (14)
- A Theory of Current Account and Exchange Rate Determinations (1983) (14)
- On the Ease of Overstating the Fiscal Stimulus in the Us, 2008-9 (2010) (14)
- Government Size, Optimal Inflation Tax, and Tax Collection Costs (1983) (14)
- The Euro and the Global Crises: Finding the Balance between Short Term Stabilization and Forward Looking Reforms (2012) (14)
- Foreign Direct Investment, Productive Capacity and Exchange Rate Regimes (1991) (14)
- Saving and the Long Shadow of Macroeconomic Shocks (2013) (13)
- The Net Fiscal Expenditure Stimulus in the US, 2008-9: Less than What You Might Think, and Less than the Fiscal Stimuli of Most OECD Countries (2011) (13)
- Capital Market Imperfections and the Theory of Optimum Currency Areas (2008) (13)
- Saving and the Long Shadow of Macroeconomic Shocks (2013) (13)
- The European Sovereign Debt Crisis: Background and perspectives, overview of the special issue (2013) (13)
- Vocational Education, Manufacturing, and Income Distribution: International Evidence and Case Studies (2017) (12)
- Tariff Liberalization Policy and Financial Restrictions (1983) (12)
- Housing Bubbles, Economic Growth, and Institutions (2019) (12)
- International Coordination and Precautionary Policies (2015) (12)
- Targeting Rules for Monetary Policy (1986) (11)
- Wage Indexation, Supply Shocks, and Monetary Policy in a Small, Open Economy (1986) (11)
- International Reserves, Exchange Rates, and Monetary Policy: From the Trilemma to the Quadrilemma (2019) (11)
- On the Need for Fiscal Discipline in an Union (1994) (10)
- The Eurozone Crisis: Muddling through on the Way to a More Perfect Euro Union? (2013) (10)
- Good-Bye Original Sin, Hello Risk On-Off, Financial Fragility, and Crises? (2020) (10)
- Links between Trade and Finance: A Disaggregated Analysis (2008) (10)
- Sectorial Wages and the Real Exchange Rate (1988) (10)
- Precautionary Strategies and Household Saving (2015) (9)
- Controlled Openness and Foreign Direct Investment (1997) (9)
- Prizes for basic research: Human capital, economic might and the shadow of history (2006) (9)
- The use of the balance of payments as a shock absorber in fixed rate and managed float systems (1981) (8)
- On the tradeoff between wage indexation and foreign exchange intervention (1985) (8)
- Asset Class Diversification and Delegation of Responsibilities between Central Banks and Sovereign Wealth Funds (2010) (8)
- Foreign Direct Investment as a Commitment Mechanism in the Presence of Managed Trade (1992) (8)
- Wage Dispersion and Technical Progress (1996) (8)
- Macro Prudential Supervision in the Open Economy, and the Role of Central Banks in Emerging Markets (2010) (8)
- Why is Inflation Skewed? A Debt and Volatility Story (1994) (8)
- Hoarding for stormy days—Test of international reserves adjustment providing financial buffer stock services (2020) (8)
- Devaluation and liberalization in the presence of tariff and quota restrictions: An equilibrium model (1981) (8)
- Managing Economic Volatility and Crises: Overview (2005) (8)
- Country Risk, Asymmetric Information and Domestic Policies (1986) (8)
- Financial Sector Ups and Downs and the Real Sector: Big Hindrance, Little Help (2011) (8)
- External Debt, Planning Horizon and Distorted Credit Markets (1988) (8)
- Wage Contracts with Incomplete and Costly Information (1983) (7)
- Tax Revenue Trends in Asia and Latin America: A Comparative Analysis (2015) (7)
- House Valuations and Economic Growth: Some International Evidence (2016) (7)
- Country Risk and Contingencies (1987) (7)
- Evaluating Asian Swap Arrangements (2011) (7)
- Post COVID‐19 exit strategies and emerging markets economic challenges (2020) (7)
- Capital Markets Integration, Volatility and Persistence (1995) (7)
- Adjustment of State Owned and Foreign-Funded Enterprises in China to Economic Reforms,1980s-2007: A Logistic Smooth Transition Regression (Lstr) Approach (2009) (6)
- Institutional Efficiency and the Investment Share of FDI (2004) (6)
- Dynamics of trade liberalization policy (1983) (6)
- International Reserves and Swap Lines in Times of Financial Distress: Overview and Interpretations (2010) (5)
- Hoarding for Stormy Days - Test of International Reserves Providing Financial Buffer Services (2019) (5)
- The Pacific Rim and the Global Economy: Future Financial and Macro Challenges (2017) (5)
- Strategic Investment in a Debt Bargaining Framework (1989) (5)
- The Political-Economy Trilemma (2020) (5)
- Foreign Direct Investment, Employment Volatility and Cyclical Dumping (1994) (5)
- Overview of the special issue on “Policy Implications of and Lessons from the Global Financial Crisis” (2012) (5)
- The sustainability of economic transformation (1996) (5)
- Investment and deposit contracts under costly intermediation and aggregate volatility (2006) (5)
- Special issue: Implications of ultra-low and negative interest rates (2018) (5)
- The emerging global financial architecture and exchange rate regimes in a volatile world (2011) (5)
- Financial sector inefficiencies and the debt Laffer curve: THE DEBT LAFFER CURVE (2005) (5)
- Relative Price Levels and Current Accounts: An Exploration (2008) (5)
- Overview: Macroeconomic and financial policy challenges of China and India (2013) (4)
- Liquidity and Foreign Asset Management Challenges for Latin American Countries (2014) (4)
- Real Estate Valuation, Current Account, and Credit Growth Patterns Before and After the 2008–2009 Crisis (2013) (4)
- East Asian Economies and Financial Globalization in the Post-Crisis World (2016) (4)
- International Reserves, Sovereign Risk and the Cost of Public Funds: Explaining High Demand for International Reserves * (2002) (4)
- Inward Versus Outward Growth Orientation in the Presence of Country Risk (1989) (4)
- China’s Growth, Stability, and Use of International Reserves (2014) (4)
- On the Optimal Combination of Commercial and Exchange Rate Policies (1983) (4)
- Market Power and Exchange Rate Adjustment in the Presence of Quotas (1987) (4)
- Measuring Systemic Risk Contribution of International Mutual Funds (2016) (4)
- Financial liberalization: how well has it worked for developing countries? (2005) (4)
- New Activities, the Welfare Cost of Uncertainty and Investment Policies (1996) (4)
- Production bottlenecks and congestion externalities during the transition to a market economy (1996) (4)
- Optimal Buffer Stocks and Precautionary Savings with Disappointment Aversion (1995) (4)
- Reflections on the Euro Crisis: Prioritizing the Road Ahead (2013) (4)
- Overcoming the Middle-Income Challenge (2018) (4)
- The US as the “demander of last resort†and its implications on China’s current account (2008) (4)
- The Internationalization of the RMB, Capital Market Openness, and Financial Reforms in China (2015) (3)
- Overview of the special issue on international finance in the aftermath of the 2008 global crisis (2012) (3)
- August 2005 International Reserves : Precautionary versus Mercantilist Views , Theory and Evidence (2005) (3)
- Tax Revenue Trends in Latin America and Asia: A Comparative Analysis (2018) (3)
- Trilemma and Financial Stability Configurations in Asia (2011) (3)
- Signaling Credibility - Choosing Optimal Debt and International Reserves (2006) (3)
- Overview of conference volume "Financial and Commercial Integrations" (2007) (3)
- Monopolistic Competition and Labor Market Adjustment in the Open Economy (1987) (3)
- Regret theory and policy reform (1998) (3)
- Privatization in Emerging Markets (1998) (3)
- Resource Allocation During the Transition to a Market Economy: Political Implications of Supply Bottlenecks and Adjustment Costs (1993) (3)
- Optimal Price Adjustment with Time-Dependent Costs (1984) (3)
- The More Divergent, the Better? Lessons on Trilemma Policies and Crises for Asia (2014) (3)
- Trilemma Configurations in Asia in an Era of Financial Globalization (2011) (3)
- Managing Risk for Development : International Risk Sharing (2013) (3)
- Financial Sector Ups and Downs and the Real Sector: Up by the Stairs, Down by the Parachute (2011) (3)
- A Two Covid-19 Years Quartile Comparison of Official with Excess Mortality: Voice and Accountability and the Impact of Vaccines (2022) (3)
- The Political Economy of the COVID-19 Fiscal Stimulus Packages of 2020 (2021) (3)
- Financial crisis and International reserves (2007) (3)
- Openness, Relative Prices and Macro Policies (1983) (3)
- International reserves and the crisis : a reassessment * (2009) (2)
- Understanding Global Liquidity in a Volatile World (2009) (2)
- Fiscal Stimulus and Commercial Bank Lending Under COVID-19 (2022) (2)
- Monopolistic Competition and Deviations from PPP (1985) (2)
- International Financial Markets and Transmission of the Crisis: Determinants of Exchange Market Pressure and Absorption by International Reserves (2012) (2)
- Overview of conference volume "Regional and International Implications of the Financial Instability in Latin America" (2003) (2)
- On Prudential Regulation: To Regulate Foreign or Domestic Intermediation? (2009) (2)
- Resource Allocation During the Transition to a Market Economy: Policy Implications of Supply Bottlenecks and Adjustment Costs (1993) (2)
- Labor Markets and the Choice of Technology in an Open Developing Economy (1986) (2)
- International Evidence on Vaccines and the Mortality to Infections Ratio in the Pre-Omicron Era (2021) (2)
- Stabilization Policies and the Information Content of Real Wages (1984) (2)
- Labour markets and the choice of technology in an open developing economy (1989) (2)
- Managing Volatility and Crises Overview (2004) (2)
- De-industrialization and Emerging Market Economies (2001) (2)
- Macroeconomics Challenges and Resilience of Emerging Market Economies (2019) (2)
- Political Uncertainty, the Formation of New Activities and Growth (1998) (2)
- Precautionary versus Mercantilist Views, Theory and Evidence * (2005) (1)
- An Introduction to the Special Issue “Financial Globalization and De-Globalization: Perspectives and Prospects” (2021) (1)
- Overview: Pacific Rim economies and the evolution of the international monetary architecture (2014) (1)
- The commodity cycle: Macroeconomic and financial stability implications – An introduction (2017) (1)
- Sovereign Wealth Funds : Stylized Facts about their Determinants and Governance * December 2008 (2008) (1)
- International Evidence of Strengthening Taxes and Spending For Sustainable Development (2021) (1)
- Externalities, Incentives, and Economic Reforms (1990) (1)
- Capital Controls, Institutions, and Interactions (2005) (1)
- International reserves management and the current account - eScholarship (2007) (1)
- Gaps between official and excess Covid-19 mortality measures: The effects of institutional quality and vaccinations (2022) (1)
- International Reserve Management, Global Financial Shocks, and Firm Investment in Emerging Market Economies (2021) (1)
- The US 19th and 20th Century Experiences: Lessons for the Eurozone Crisis (2012) (1)
- Fiscal Space and Increasing Fiscal Resilience (2019) (1)
- Investment, Openness and Country Risk (1987) (1)
- SOVEREIGN RISK AND COSTLY TAX COLLECTION (2016) (1)
- Political Feasibility and Investment in Economic Transformations (1993) (1)
- Fiscal Challenges in Multilayered Unions: An Overview and Case Study (2014) (1)
- Reserve Requirements on Sovereign Debt in the Presence of Moral Hazard -- on Debtors or Creditors? (2001) (1)
- The US: (2008) (1)
- Reforming the global financial system (2003) (1)
- FUTURE POLICY UNCERTAINTY, EFFORT, AND THE RESPONSIVENESS OF OUTPUT TO MARKET SIGNALS (1993) (1)
- The new normal: An introduction to the special issue (2016) (1)
- Macroeconomic Adjustment and the Burden of History in Open Economies (2012) (0)
- The research reported here is part of the NBERts research program in International Studies. Any (1983) (0)
- Vocational Education, Manufacturing, and Income Distribution: International Evidence and Case Studies (2018) (0)
- Endogenous financial and trade openness : political economy considerations (2004) (0)
- Optimal Wage Re-Negotiation (1984) (0)
- April 2007 Takeoffs (2007) (0)
- Effect of Macroprudential Policies on Sovereign Bond Markets: Evidence from the ASEAN-4 Countries (2022) (0)
- The emerging global financial architecture: What's new and what's old? (2010) (0)
- Documento de Trabajo Working Paper N ° 449 N ° 449 INTERNATIONAL RESERVES MANAGEMENT AND THE CURRENT ACCOUNT (2008) (0)
- Capital flows and exchange rate policies (2018) (0)
- With Greek debt negotiations at a critical phase it is time for Germany to end its policy of ‘muddling through’ (2015) (0)
- Discussion of ` The nancial crisis and sizable international reserves depletion ' by (2010) (0)
- Capital Flows and Economic Growth in the Era of Financial Integration and Crisis, 1990–2010 (2012) (0)
- First version : May 2005 This draft : March 2006 International Reserves : Precautionary versus Mercantilist Views , Theory and Evidence (2006) (0)
- SEF Working paper: 07/2015 Precautionary strategies and household savings (2015) (0)
- Liquidity and foreign asset management challenges for LATAM countries (2014) (0)
- – choosing optimal debt and international reserves* (2006) (0)
- and – Two Way Linkages? (2005) (0)
- Economic Fluctuations and International Studies. Any opinions (1986) (0)
- Comment on "Exporting Deflation? Chinese Exports and Japanese Prices" (2010) (0)
- Inflation Surge and Sovereign Borrowing: The Role of Policy Practices in Strengthening Sovereign Resilience (2023) (0)
- Contagion , Bankl Lending Spreads , and Output Fluctuationis (2000) (0)
- Uncertainty and the Disappearance of International Credit Joshua Aizenman Dartmouth College and NBER (1999) (0)
- The OeNB ’ s 79 th East Jour Fixe : Capital Flows to CESEE – Impact on Macro-Financial Stability and Policy Responses (2016) (0)
- UC Santa Cruz Working Paper Series Title Adjustment of State Owned and Foreign-Funded Enterprises in China to economic reforms , 1980 s-2007 : a logistic smooth transition regression ( LSTR ) approach Permalink (2009) (0)
- Overview: Global safe assets, international reserves, and capital flow (2020) (0)
- U.S. Macro Policies and Global Economic Challenges (2020) (0)
- and Economic Research (2004) (0)
- DOCUMENT OF INTERNATIONAL MONETARY FUND AND NOT FOR PUBLIC USE (2005) (0)
- Fiscal capacity and commercial bank lending under COVID-19 (2023) (0)
- The Political-Economy Trilemma (2020) (0)
- The Fed’s Swap Lines: Narrow Circle, Broad Effect? (2022) (0)
- Real Exchange Rate and International Reserves in the Era of Financial Integration (2023) (0)
- Precautionary Strategies and Household Saving (2015) (0)
- Costly Adjustment and Limited Borrowing: a Welfare Analysis of Policiesto Achieve External Balance (1987) (0)
- instead of ex post sticks: two examples (2005) (0)
- Housing Bubbles, Economic Growth, and Institutions (2019) (0)
- AS AN ECONOMIC (2011) (0)
- From the Great Moderation to the Global Crisis: Exchange Market Pressure in the 2000s (2011) (0)
- Real Exchange Rate Overshooting and Capital Controls in a Crisis (2001) (0)
- Successful Adjustment in a Multi-Sectoral Economy (1987) (0)
- Excess Liquid Assets and the Credit Crunch in East Asia Theory and Evidence for Thailand (2000) (0)
- Inflation Targeting and Real Exchange Rates in Emerging Markets* - eScholarship (2008) (0)
- The Impacts of Crises on the Trilemma Configurations (2022) (0)
- World Integration, Competitive and Bargaining Regimes Switch: An Exploration (1989) (0)
- Production bottlenecks and resource allocation during the transition to a market economy (1995) (0)
- Large Fiscal Episodes and Sustainable Development: Some International Evidence (2021) (0)
- instead of two examples (2005) (0)
- Overview: Adjustment in the aftermath of the Global Crisis 2008–09: New global order?☆ (2015) (0)
- On the Effectiveness of Foreign Exchange Reserves During the 2021-22 U.S. Monetary Tightening Cycle (2023) (0)
- The Impacts of Financial Crises on the Trilemma Configurations (2022) (0)
- Capital Account Opening, International Reserves, and Development: Evidence and Some Policy Controversies (2003) (0)
- Conference on Adjustment of Labor Markets in LDCs to External Changes, organized (1998) (0)
- Salient features of the international economy during the last twenty years are the growing financial and commercial integrations of developing countries and recurring financial instability (2008) (0)
- Optimal Currency Area: A twentieth Century Idea for the twenty-first Century? (2018) (0)
- Macroeconomic Challenges and the Resilience of Emerging Market Economies in the 21st Century (2020) (0)
- Country Risk and Incentives Schemes (1986) (0)
- Financial Spillovers and Macroprudential Policies (2020) (0)
- NBER WORKING PAPER SERIES HOARDING INTERNATIONAL RESERVES VERSUS A PIGOVIAN TAX-CUM-SUBSIDY SCHEME: REFLECTIONS ON THE DELEVERAGING CRISIS OF 2008-9, AND A COST BENEFIT ANALYSIS (2009) (0)
- Costly Intermediation , Volatility , and Deposit Contracts (2000) (0)
- Social Security Privatization in Emerging Markets---Labor and Capital Taxes (0)
- The Eurocrisis: Muddling through, or on the Way to a More Perfect Euro Union? (2015) (0)
- Adjustment in the Open Economy (2007) (0)
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What Schools Are Affiliated With Joshua Aizenman?
Joshua Aizenman is affiliated with the following schools: