Marcel Fratzscher
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German economist
Marcel Fratzscher's AcademicInfluence.com Rankings
Marcel Fratzschereconomics Degrees
Economics
#274
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#354
Historical Rank
Monetary Economics
#11
World Rank
#11
Historical Rank
Macroeconomics
#64
World Rank
#70
Historical Rank
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Economics
Marcel Fratzscher's Degrees
- PhD Economics European University Institute
- Bachelors Economics University of Mannheim
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(Suggest an Edit or Addition)According to Wikipedia, Marcel Fratzscher is a German economist and professor at Humboldt-University of Berlin. Since February 2013 he has been president of the Berlin-based economic research institute DIW Berlin. He was previously head of International Policy Analysis at the European Central Bank. He also teaches International Finance in the Ph.D. programme in Economics at Goethe University Frankfurt.
Marcel Fratzscher's Published Works
Published Works
- Central Bank Communication and Monetary Policy: A Survey of Theory and Evidence (2008) (1158)
- Capital Flows, Push Versus Pull Factors and the Global Financial Crisis (2011) (771)
- Towards a New Early Warning System of Financial Crises (2002) (688)
- Financial Market Integration in Europe: On the Effects of Emu on Stock Markets (2001) (578)
- The Pricing of Sovereign Risk and Contagion During the European Sovereign Debt Crisis (2012) (486)
- On the International Spillovers of US Quantitative Easing (2013) (471)
- Taking Stock: Monetary Policy Transmission to Equity Markets (2004) (425)
- The Global Crisis and Equity Market Contagion: The Global Crisis and Equity Market Contagion (2014) (361)
- Home Bias in Global Bond and Equity Markets: The Role of Real Exchange Rate Volatility (2006) (354)
- Global Financial Transmission of Monetary Policy Shocks (2006) (345)
- Communication by Central Bank Committee Members: Different Strategies, Same Effectiveness? (2007) (311)
- The Global Crisis and Equity Market Contagion (2014) (286)
- The Pecking Order of Cross-Border Investment (2006) (270)
- The Scapegoat Theory of Exchange Rates: The First Tests (2012) (260)
- Global Crises and Equity Market Contagion (2011) (251)
- Identifying the Global Transmission of the 2007-09 Financial Crisis in a GVAR Model (2010) (246)
- Reconciling risk sharing with market discipline: A constructive approach to euro area reform (2018) (232)
- What Explains Global Exchange Rate Movements during the Financial Crisis (2009) (228)
- Equal Size, Equal Role? Interest Rate Interdependence between the Euro Area and the United States (2004) (220)
- Bubble Thy Neighbor: Portfolio Effects and Externalities from Capital Controls (2012) (211)
- Productivity Shocks, Budget Deficits and the Current Account (2005) (207)
- On Currency Crises and Contagion (2002) (191)
- Financial Openness and Growth: Short-Run Gain, Long-Run Pain? (2004) (188)
- Asset Prices, Exchange Rates and the Current Account (2007) (187)
- Current Account Dynamics in OECD and EU Acceding Countries - an Intertemporal Approach (2004) (185)
- Capital Flow Management Measures: What are They Good for? (2015) (184)
- Exchange Rates and Fundamentals: New Evidence from Real-Time Data (2004) (183)
- ECB Unconventional Monetary Policy: Market Impact and International Spillovers (2016) (161)
- Central Bank Communication on Financial Stability (2011) (144)
- Communication and Decision-Making by Central Bank Committees: Different Strategies, Same Effectiveness? (2005) (144)
- China's Dominance Hypothesis and the Emergence of a Tri�?Polar Global Currency System (2011) (135)
- The Role of Central Bank Transparency for Guiding Private Sector Forecasts (2009) (135)
- Convergence and Anchoring of Yield Curves in the Euro Area (2007) (135)
- Communication and Exchange Rate Policy (2004) (134)
- The Transmission of Emerging Market Shocks to Global Equity Markets (2007) (126)
- The Timing of Central Bank Communication (2005) (125)
- Explaining Monetary Policy in Press Conferences (2007) (124)
- Oil Prices, Exchange Rates and Asset Prices (2013) (122)
- Monetary Policy in the Media (2006) (115)
- Risk Sharing, Finance and Institutions in International Portfolios (2007) (98)
- When is Foreign Exchange Intervention Effective? Evidence from 33 Countries (2016) (98)
- Purdah: On the Rationale for Central Bank Silence Around Policy Meetings (2008) (97)
- Forecasting ECB Monetary Policy: Accuracy is (Still) a Matter of Geography (2006) (96)
- Transparency, Disclosure and the Federal Reserve (2005) (95)
- IMF Surveillance and Financial Markets - A Political Economy Analysis (2010) (94)
- The Political Economy Under Monetary Union: Has the Euro Made a Difference? (2008) (94)
- Drivers of Structural Change in Cross-Border Banking Since the Global Financial Crisis (2014) (90)
- ECB Unconventional Monetary Policy Actions: Market Impact, International Spillovers and Transmission Channels * (2014) (88)
- European Integration: What Lessons for Other Regions? The Case of Latin America (2002) (88)
- Euro area government bonds – Fragmentation and contagion during the sovereign debt crisis (2017) (88)
- Interdependence between the Euro Area and the Us: What Role for Emu? (2002) (85)
- Monetary Policy Announcements and Money Markets: A Transatlantic Perspective (2003) (80)
- A Global Monetary Tsunami? On the Spillovers of US Quantitative Easing (2012) (79)
- Why are currency crises contagious? A comparison of the Latin American Crisis of 1994–1995 and the Asian Crisis of 1997–1998 (1998) (78)
- Capital Controls and Macroprudential Measures: What Are They Good For? (2013) (75)
- Do China and Oil Exporters Influence Major Currency Configurations? (2008) (74)
- How Successful is the G7 in Managing Exchange Rates? (2008) (72)
- Low probability, high impact: Policy making and extreme events (2008) (71)
- How Should Central Banks Communicate? (2005) (69)
- How Successful are Exchange Rate Communication and Interventions? Evidence from Time-Series and Event-Study Approaches (2005) (67)
- Credit provision and banking stability after the Great Financial Crisis: The role of bank regulation and the quality of governance (2016) (66)
- Social Value of Public Information - Testing the Limits to Transparency (2007) (66)
- Oral Interventions versus Actual Interventions in FX Markets - An Event-Study Approach (2008) (63)
- On the long-term effectiveness of exchange rate communication and interventions (2006) (61)
- Monetary Policy, Bank Bailouts and the Sovereign-Bank Risk Nexus in the Euro Area (2015) (57)
- The Link between Institutional and Economic Integration: Insights for Latin America from the European Experience (2004) (55)
- Asset Prices and Current Account Fluctuations in G7 Economies (2009) (54)
- Currency Mismatch, Uncertainty and Debt Maturity Structure (2004) (50)
- Asset Prices and Current Account Fluctuations in G-7 Economies (2009) (48)
- US Shocks and Global Exchange Rate Configurations (2007) (48)
- Geography or Skills: What Explains Fed Watchers' Forecast Accuracy of US Monetary Policy? (2006) (46)
- Politics and Monetary Policy (2010) (43)
- Liquidity, Risk and the Global Transmission of the 2007-08 Financial Crisis and the 2010-11 Sovereign Debt Crisis (2011) (36)
- What Causes Currency Crises: Sunspots, Contagion or Fundamentals? (1999) (35)
- Communicating About Macro-prudential Supervision – A New Challenge for Central Banks (2012) (34)
- Does it Pay to Have the Euro? Italy's Politics and Financial Markets under the Lira and the Euro (2009) (34)
- Macroprudential Policy and Central Bank Communication (2010) (33)
- Capital Controls and Foreign Exchange Policy (2012) (32)
- Current Account Dynamics in OECD Countries and in the New EU Member States: An Intertemporal Approach (2006) (32)
- Monetary Policy Shocks and Portfolio Choice (2009) (32)
- Inflation Targeting as a Shock Absorber (2017) (26)
- THE IMPACT OF SOVEREIGN WEALTH FUNDS ON GLOBAL FINANCIAL MARKETS (2008) (26)
- Monetary Policy, Bank Bailouts and the Sovereign-Bank Risk Nexus in the Euro Area* (2018) (26)
- The Euro Bloc, the Dollar Bloc and the Yen Bloc: How Much Monetary Policy Independence Can Exchange Rate Flexibility Buy in an Interdependent World? (2002) (25)
- Dispersed communication by central bank committees and the predictability of monetary policy decisions (2013) (23)
- Euro Area Government Bonds-Integration and Fragmentation During the Sovereign Debt Crisis (2015) (23)
- 130 Years of Fiscal Vulnerabilities and Currency Crashes in Advanced Economies (2011) (20)
- Asset Prices, News Shocks and the Current Account (2010) (20)
- Asset Prices, News Shocks, and the Trade Balance (2013) (18)
- Official Intervention in the Foreign Exchange Market (2012) (18)
- Do China and Oil Exporters Influence Major Currency Configurations (2009) (18)
- Strategies of exchange rate policy in G3 economies (2005) (17)
- A proposal for a Covid credit line (2020) (17)
- Integrating Refugees: A Long-Term, Worthwhile Investment (2015) (17)
- Does it Pay to Have the Euro? Italy's Troubled Politics and Financial Markets Under the Lira and the Euro (2008) (17)
- Geography, skills or both: What explains Fed watchers’ forecast accuracy of US monetary policy? (2011) (16)
- How Should Central Banks Deal with a Financial Stability Objective? The Evolving Role of Communication as a Policy Instrument (2011) (14)
- From “sick man of Europe” to economic superstar (2018) (14)
- How Successful Is the G7 in Managing Exchange Rates (2009) (13)
- What has made the financial crisis truly global ? (2009) (12)
- Reconciling risk sharing with market discipline (2018) (11)
- Uncertainty and Debt-Maturity in Emerging Markets (2006) (10)
- Currency Mismatch, Uncertainty and Debt Structure (2004) (10)
- Equal size, equal role? Interdependence between the euro area and the United States (2004) (8)
- The Germany Illusion (2018) (8)
- Germany must invest more in its future (2013) (8)
- German Right-Wing Party AfD Finds More Support in Rural Areas with Aging Populations (2018) (8)
- Liquidity, risk and the global transmission of the 2007-08 financial crisis and the 2010-2011 sovereign debt crisis (2012) (8)
- Forecasting ECB monetary policy (2006) (7)
- COVID-19 economic crisis (2020) (7)
- GDP-Linked Loans for Greece (2014) (6)
- Systematic Intervention and Currency Risk Premia (2019) (6)
- More Growth through Higher Investment (2013) (6)
- Rules Versus Human Beings, and the Mandate of the ECB (2016) (6)
- Mere criticism of the ECB is no solution (2015) (5)
- Finance, Institutions and Risk Sharing in International Portfolios (2009) (4)
- Weak inflation and threat of deflation in the euro area: Limits of conventional monetary policy (2014) (3)
- Monetary Policy and Household ( De-) leveraging (2018) (3)
- The Role of Liquidity, Risk and Economic Activity in the Global Transmission of the Financial Crisis (2010) (3)
- Asset Prices and Current Account Fluctuations in Industrialized Economies (2008) (3)
- [Social Acceptance as Key in the Corona Pandemic]. (2021) (3)
- Populism, Protectionism and Paralysis (2020) (2)
- 130 years of fiscal deficits and currency crashes in advanced economies (2011) (2)
- ORAL I NTERVENTIONS VERSUS ACTUAL INTERVENTIONS IN F X M ARKETS - AN EVENT-STUDY A PPROACH* (2008) (2)
- Unchartered territory: Large-scale asset purchases by the European Central Bank (2015) (2)
- Weak Corporate Investment Requires Immediate Action (2016) (2)
- Capital Flow Policies, Monetary Policy and Coordination (2014) (2)
- Liquidity, risk and the global transmission of the 2007–08 financial crisis and the 2010–11 sovereign debt crisis title (2012) (1)
- A Global Early Warning System of Financial Crises (2010) (1)
- TARGET Balances - An Anchor of Stability (2013) (1)
- Reprint of: Central bank communication and monetary policy: a survey of theory and evidence (2014) (1)
- Is IMF Surveillance Biased (2008) (1)
- Modern monetary policy and central bank governance (2014) (1)
- ECB Unconventional Monetary Policy: Market Impact and International Spillovers (2016) (1)
- The divided country (2018) (1)
- An Investment Agenda for Europe (2014) (1)
- Making the Euro Thrive for the Next 100 Years: What Is Needed, and What Is Missing? (2015) (1)
- Income Groups and Types of Employment in Germany since 1995 (2017) (1)
- A Stable and Social Europe: Fiscal Rules, a Stabilization Fund, Insolvency Rules, Gender Quota, Gender Pension Gaps, and Education. Reports (2019) (1)
- Germany as Europe’s reluctant hegemon (2018) (1)
- Macroprudential policy and central bank communication PRELIMINARY AND INCOMPLETE – PLEASE DO NOT (2010) (1)
- What Lessons for Latin America from European Institutional and Economic Integration? (2019) (1)
- German Economy Booming but Not to the Point of Overheating: Editorial (2017) (1)
- GLOBAL CRISES AND EQUITY MARKET CONTAGION Geert Bekaert Michael Ehrmann Marcel Fratzscher (2011) (1)
- Comment on Felix Hammermann (2005) (1)
- At opposite poles: How the success of the Green Party and AfD reflects the geographical and social cleavages in Germany (2019) (1)
- Coronataxes as a solution (2020) (1)
- Financial globalization and integration (2007) (1)
- The investment gap (2018) (0)
- 2015-13 April 2015 Euro Area Government Bonds — Integration and Fragmentation During the Sovereign Debt Crisis (2015) (0)
- Lessons for Europe from German Monetary Union (2015) (0)
- The Asian Financial Crisis (Book Review). (2000) (0)
- Book reviews (2000) (0)
- Germany, the euro, and the European Central Bank (2018) (0)
- The importance of the euro for Europe (2018) (0)
- On the growing economic interdependence in a global economy (2002) (0)
- Reunification: An Economic Success Story (2014) (0)
- Foreign Exchange Intervention: A New Database (2020) (0)
- Germany’s role during the European crisis (2018) (0)
- The German Economy Is Slowing down Somewhat: Editorial (2018) (0)
- Uncertainty and Debt-Maturity in Emerging Markets, with Matthieu Bussière and Marcel Fratzscher (2006) (0)
- Inflation Experience and Inflation Expectations: Spatial Evidence (2014) (0)
- Despite Uncertainty in the Global Economy, Germany Is on a Solid Growth Path: Editorial (2017) (0)
- Germany 25 Years after Fall of the Wall (2014) (0)
- The export world champion (2018) (0)
- Germany Hit Hard by the Global Recession as Uncertainty Weighs Heavy: Editorial (2020) (0)
- Overcoming Weaknesses in Municipal Investment (2015) (0)
- "There are many analogies between the GDR in 1990 and Greece today": Four questions to Marcel Fratzscher (2015) (0)
- German economy performing well despite odds: Time to rethink debt rules (2019) (0)
- The refugee crisis (2018) (0)
- A fiscally virtuous government (2018) (0)
- Identifying the Role of Contagion in Currency Crises with Markov-Switching Models (2004) (0)
- German Economy Growing despite Uncertainties and Risks; Global Economy Continuing to Cool Down: Editorial (2019) (0)
- The employment miracle (2018) (0)
- "In an international comparison, too little is being invested in German industry": Six Questions to Marcel Fratzscher (2016) (0)
- German Economy Continues to Grow Moderately but Risks Remain: Editorial (2018) (0)
- German Economy on Track: Editorial (2017) (0)
- On the Causes of the Latin American and Asian Currency Crises of the 1990s (2004) (0)
- New Government Prolongs German Economic Upswing: Editorial (2018) (0)
- Appendix A : Country sample EMEs and developing countries Developed countries (2007) (0)
- Discussion Papers Oil Prices , Exchange Rates and Asset Prices (2013) (0)
- Geography or skills (2008) (0)
- A New Economic Paradigm (2018) (0)
- Germany’s Economic Boom Is Cooling Off: Editorial (2018) (0)
- German economy with delayed recovery: Industry in a tight spot (2021) (0)
- Growth Program Needed as the Foundation of the German Economy Crumbles: Editorial (2019) (0)
- Making the Euro Area Fit for the Future (2014) (0)
- Populism, Protectionism and Paralysis (2020) (0)
- The global crisis and equity market contagion DIW (2014) (0)
- Dispersed communication by central bank committees and the predictability of monetary policy decisions (2012) (0)
- German Economy in Recession: Bridging Pinch Points, Building Confidence, Boosting Demand: Editorial (2020) (0)
- The Impact of Exchange Rate Interventions and Communication Over the Medium Term (2008) (0)
- Myths and Facts About Inequality (2018) (0)
- Governance Reforms and Macroeconomic Policies in Europe (2012) (0)
- Myths and Facts About Inequality (2018) (0)
- Happy Birthday? The Euro at 20 (2019) (0)
- "We need to give impetus to the private sector": Six questions to Marcel Fratzscher (2014) (0)
- German Economy Continues Steady Upswing with no Sign of Overheating: Editorial (2017) (0)
- Transforming Berlin from a Startup Hub into an Economically Thriving Metropolis: Editorial (2016) (0)
- "Investing in Germany!": Six questions to Marcel Fratzscher (2015) (0)
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