Linda S. Goldberg
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(Suggest an Edit or Addition)According to Wikipedia, Linda S. Goldberg is an Economist at the Federal Reserve Bank of New York and is currently Senior Vice President in the Research Policy Leadership division. She holds a Doctor of Philosophy and Master of Arts from Princeton University and a Bachelor of Arts in Mathematics and Economics from Queens College of the City University of New York.
Linda S. Goldberg's Published Works
Published Works
- Exchange Rate Pass-Through into Import Prices (2004) (1219)
- Global Banks and International Shock Transmission: Evidence from the Crisis (2010) (760)
- Banking Globalization and Monetary Transmission (2009) (668)
- Exchange Rate Pass-Through into Import Prices: A Macro or Micro Phenomenon? (2002) (564)
- Vehicle Currency Use in International Trade (2005) (526)
- Foreign Direct Investment, Exchange Rate Variability and Demand Uncertainty (1994) (475)
- Liquidity Management of U.S. Global Banks: Internal Capital Markets in the Great Recession (2011) (381)
- The Sensitivity of the CPI to Exchange Rates: Distribution Margins, Imported Inputs, and Trade Exposure (2010) (290)
- Exchange rates and investment in United States industry (1993) (273)
- Investment in Manufacturing, Exchange-Rates and External Exposure (1993) (271)
- The Evolving External Orientation of Manufacturing Industries: Evidence from Four Countries (1997) (269)
- The Evolving External Orientation of Manufacturing: A Profile of Four Countries (1997) (225)
- Exchange Rate Pass-Through to Import Prices in the Euro Area (2005) (199)
- Has Foreign Bank Entry Led to Sounder Banks in Latin America? (2002) (181)
- Investment, Pass-Through and Exchange Rates: A Cross-Country Comparison (1995) (175)
- Central Bank Dollar Swap Lines and Overseas Dollar Funding Costs (2010) (174)
- Financial Sector FDI and Host Countries: New and Old Lessons (2004) (170)
- Follow the Money: Quantifying Domestic Effects of Foreign Bank Shocks in the Great Recession (2012) (157)
- Does Foreign Ownership Contribute to Sounder Banks in Emerging Markets? The Latin American Experience (2001) (147)
- Foreign Direct Investment, Trade and Real Exchange Rate Linkages in Developing Countries (1997) (145)
- Understanding Banking Sector Globalization (2009) (142)
- When is U.S. Bank Lending to Emerging Markets Volatile? (2001) (141)
- Industry-Specific Exchange Rates for the United States (2004) (136)
- Banking Globalization, Monetary Transmission, and the Lending Channel (2008) (133)
- Pass-Through of Exchange Rates to Consumption Prices: What Has Changed and Why (2006) (132)
- Macroeconomic Interdependence and the International Role of the Dollar (2008) (124)
- Investment, Pass-Through and Exchange-Rates: A Cross-Country Comparison (1999) (110)
- Predicting Exchange Rate Crises: Mexico Revisited (1990) (107)
- The Shifting Drivers of Global Liquidity (2017) (105)
- Cross-Border Prudential Policy Spillovers: How Much? How Important? Evidence from the International Banking Research Network (2016) (104)
- Is the International Role of the Dollar Changing? (2010) (96)
- International Banking and Liquidity Risk Transmission: Lessons from Across Countries (2014) (92)
- What Moves Sovereign Bond Markets? The Effects of Economic News on U.S. And German Yields (2003) (91)
- Micro, Macro, and Strategic Forces in International Trade Invoicing (2009) (87)
- The International Role of the Dollar and Trade Balance Adjustment (2006) (64)
- Exchange Rates and Wages (2001) (64)
- Time Variation in Asset Price Responses to Macro Announcements (2013) (62)
- Exchange Rates and Employment Instability: Evidence from Matched CPS Data (1999) (61)
- Micro, macro, and strategic forces in international trade invoicing: Synthesis and novel patterns (2016) (59)
- Globalized Banks: Lending to Emerging Markets in the Crisis (2009) (56)
- How Economic News Moves Markets (2008) (54)
- Measures of Global Bank Complexity (2014) (51)
- Exchange Rates and Foreign Direct Investment (2006) (46)
- Financial-Sector Foreign Direct Investment and Host Countries: New and Old Lessons (2004) (45)
- International Banking and Cross-Border Effects of Regulation: Lessons from the United States (2016) (44)
- Banking Globalization, Transmission, and Monetary Policy Autonomy (2013) (42)
- A Bargaining Theory of Trade Invoicing and Pricing (2013) (41)
- Collapsing Exchange Rate Regimes: Shocks and Biases (1988) (41)
- Establishing Credibility: Evolving Perceptions of the European Central Bank (2005) (40)
- Organizational Complexity and Balance Sheet Management in Global Banks (2016) (38)
- The International Role of the Dollar: Does It Matter if This Changes? (2011) (34)
- International Capital Flow Pressures (2018) (32)
- The International Transmission of Monetary Policy (2018) (31)
- Strategic Trading in a Two-Sided Foreign Exchange Auction (1995) (29)
- Measures of Complexity of Global Banks (2014) (25)
- Trade Invoicing in the Accession Countries: Are They Suited to the Euro? (2005) (24)
- Why a Dollar Depreciation May Not Close the U.S. Trade Deficit (2007) (23)
- Pass-Through of Exchange Rates to Consumption Prices (2008) (20)
- Bank Complexity, Governance, and Risk (2019) (19)
- The Internationalization of the Dollar and Trade Balance Adjustment (2006) (19)
- The International Exposure of U.S. Banks (2005) (18)
- Departures from the Ruble Zone: The Implications of Adopting Independent Currencies (1994) (18)
- Financial FDI and Host Countries: New and Old Lessons (2003) (18)
- International Banking and Liquidity Risk Transmission: Evidence from the United States (2015) (17)
- Do Industrialized Countries Hold the Right Foreign Exchange Reserves? (2013) (17)
- Evolving Perceptions of Central Bank Credibility: The European Central Bank Experience (2011) (17)
- Securities Trading and Settlement in Europe: Issues and Outlook (2002) (16)
- The International Exposure of U.S. Banks: Europe and Latin America Compared (2007) (15)
- Risks in U.S. Bank International Exposures (2006) (14)
- Have the Fed Swap Lines Reduced Dollar Funding Strains during the COVID-19 Outbreak? (2020) (14)
- Exchange rate regime reforms with black market leakages (1995) (13)
- Do Distribution Margins Solve the Exchange-Rate Disconnect Puzzle? (2004) (13)
- The shifting drivers of international capital flows (2016) (12)
- Foreign exchange markets in Russia : understanding the reforms (1993) (11)
- Black-Markets for Currency, Hoarding Activity and Policy Reforms (1997) (9)
- Introduction to "Topics in Empirical International Economics: A Festschrift in Honor of Robert E. Lipsey" (2001) (9)
- Debt Write-Downs and Debt-Equity Swaps in the Two Sector Model (1989) (8)
- Overview of the Volume (2005) (7)
- Cross-Border Banking Flows and Organizational Complexity in Financial Conglomerates (2016) (7)
- International Trade Issues of the Russian Federation (1995) (7)
- The Fed's International Dollar Liquidity Facilities: New Evidence on Effects (2022) (7)
- Reconciling Theory and Evidence (2001) (7)
- Complexity in Large U.S. Banks (2019) (7)
- Policy Reforms, Currency Auctions, and Production Choices in Transition Economies (1995) (7)
- Black-Markets for Currency, Hoarding Activity and Currency Reform (1992) (6)
- Gender Differences in the Labor Market Effects of the Dollar (2001) (6)
- MEASURING EXTERNAL OPENNESS: THE INDEX OF EFFECTIVE EXPOSURE (1990) (6)
- Liquidity Risk and U.S. Bank Lending at Home and Abroad (2014) (6)
- International trade and finance: Exchange rates and investment response in Latin America (1997) (5)
- Is There Macroprudential Policy without International Cooperation? (2016) (5)
- Global Banks and Their Internal Capital Markets during the Crisis (2011) (5)
- How Fed Swap Lines Supported the U.S. Corporate Credit Market amid COVID-19 Strains (2020) (5)
- Topics in Empirical International Economics (2001) (5)
- Study guide to accompany Krugman, Obstfeld, Melitz International economics : theory & policy (2012) (5)
- Moscow Black Markets and Official Markets for Foreign Exchange: How Much Flexiblity in Flexible Rates? (1992) (5)
- Global Banking: Toward an Assessment of Benefits and Costs (2020) (5)
- Exchange-Rate Unification with Black Market Leakages: Russia 1992 (1993) (4)
- The dollar and US manufacturing (1998) (4)
- The External Dimension of the Euro Area: Exchange-rate pass-through to import prices in the euro area (2007) (4)
- Complexity and riskiness of banking organizations: Evidence from the International Banking Research Network (2021) (4)
- The dynamics of international trade invoicing (2009) (3)
- The Dollar and U.S. Manufacturing (1998) (3)
- International Prudential Policy Spillovers: Evidence from the International Banking Research Network (2017) (3)
- Instructor's manual to accompany International economics : theory and policy (1991) (3)
- Internal Currency Markets and Production in the Soviet Union (1991) (3)
- Schools into Museums. (2002) (3)
- The Political Economy of Introducing New Currencies in the Former Soviet Union (1993) (3)
- Nominal Exchange Rate Patterns: Correlationswith Entry, Exit, and Invesment in U.S. Industry (1990) (3)
- Study guide to accompany International economics : theory and policy (2003) (2)
- Foreign direct investment, exchange rate variability and demand uncertainty / 1993:158 (1993) (2)
- Mini-Symposium on International Banking (2015) (2)
- A bargaining theory of trade invoicing (2012) (2)
- FX Swap Lines and Dollar Funding Costs (2009) (2)
- Is Optimum Currency Area Theory Irrelevant for Economies in Transition? (2019) (2)
- Exchange-Rate Unification with Black Market Leakages (1993) (2)
- COVID Response: The Fed’s Central Bank Swap Lines and FIMA Repo Facility (2021) (2)
- International spillovers of monetary policy through global banks: introduction to the special issue (2019) (1)
- Introduction to symposium on the global dimensions of the financial crisis (2012) (1)
- COLLAPSING EXCHANGE RATE REGIMES: AN EXTENDED FRMEWORK (1988) (1)
- U.S. Monetary Policy as a Changing Driver of Global Liquidity (2017) (1)
- The Pompano Subsea Inspection (1997) (1)
- Quality Pricing-To-Market - Institute working paper no. 125 - Dallas Fed (2012) (1)
- Strategic Behavior in Two-Sided Foreign Exchange Auctions (1995) (1)
- Micro, Macro and Strategic Forces in International Trade Invoicing (2009) (1)
- Exchange Rates and Entry, Exit and Investment in U.S. Industry (1991) (1)
- Establishing Credibility: Evolving Perceptions of the (2005) (0)
- How Do Liquidity Conditions Affect U.S. Bank Lending (2014) (0)
- COLLAPSING EXCHANGE RATE REGIMES: THE EXPERIENCES OF MEXICO AND ARGENTINA (1988) (0)
- HETEROGENOUS AGENTS AND THE COLLAPSE OF AN EXCHANGE RATE REGIME (1989) (0)
- Investment, Pass-Through, and Exchange Rates: A Cross-Country Comparison (1996) (0)
- Currency convertibility in eastern Europe (1992) (0)
- A Century of American Tariff and Unemployment Rates (2012) (0)
- K . 7 Bank Complexity , Governance , and Risk (2020) (0)
- Banking Globalization, Monetary Transmission and the Lending Channel (2008) (0)
- NBER WORKING PAPER SERIES MONETARY POLICY AND GLOBAL BANKING (2017) (0)
- Complexity in banking: stock-taking and the way forward: presentation at the Central Bank of Ireland’s Global Financial Linkages Conference (2018) (0)
- of the Exchange Rate as a Determinant of FDI: A Model of Money, Entry, and Multinational Firms (2004) (0)
- Introduction (1968) (0)
- Comment on The Spillovers, Interactions, and (Un)Intended Consequences of Monetary and Regulatory Policies by Kristin Forbes, Dennis Reinhardt, and Tomasz Wieladek. Journal of Monetary Economics (2017) (0)
- Front matter, acknowledgments, table of contents (2001) (0)
- Mini-Symposium on International Banking (2015) (0)
- Departures from the Ruble Area: The Political Economy of Adopting Independent Currencies (1993) (0)
- NBER WORKING PAPER SERIES THE SHIFTING DRIVERS OF GLOBAL LIQUIDITY (2017) (0)
- Liquidity Risk and U.S. Bank Lending at Home and Abroad U.S. Contribution to the 2013 International Banking Research Network (IBRN) (2014) (0)
- The Fed’s Inaugural Conference on the International Roles of the U.S. Dollar (2022) (0)
- International Capital Flow Pressures and Global Factors (2023) (0)
- International Banking and Liquidity Risk Transmission: Lessons from Across Countries (2015) (0)
- Study guide to accompany International economics : theory and policy, 6th ed by Paul R Krugman and Maurice Obstfeld / Linda S Goldberg, Michael W Klein, Jay C Shambaugh (2007) (0)
- International Banking and Liquidity Risk Transmission: Evidence from the United States (2015) (0)
- Follow That Money! How Global Banks Manage Liquidity Globally (2012) (0)
- Capital flow measures and research challenges (2017) (0)
- Have the Risk Profiles of Large U.S. Bank Holding Companies Changed (2020) (0)
- NOMINAL EXCHANGE RATE PETTERNS: EFFECTS ON ENTRY, EXIT AND INVESTMENT IN UNITED STATES (1989) (0)
- Trade Uncertainty and U.S. Bank Lending (2022) (0)
- Study guide to accompany : Krugman Obstfeld : international economics : theory and policy (2000) (0)
- Emerging Markets Volatile? (2002) (0)
- Trade Invoicing in the Accession Countries: Are They Suited to the Euro? [with Comments] (2005) (0)
- Lessons from Recent Crises in Asian and Other Emerging Markets (2013) (0)
- Examining Evolving Perceptions of the Credibility of a Central Bank: the European Central Bank Experience (2010) (0)
- Leslie Shapiro (2019) (0)
- The Shifting Drivers of Global Liquidity (Presentation Slides) (2017) (0)
- Financial Sanctions, SWIFT, and the Architecture of the International Payments System (2023) (0)
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