Maurice Obstfeld
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American economist
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Economics
Maurice Obstfeld's Degrees
- Bachelors Economics University of Pennsylvania
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Why Is Maurice Obstfeld Influential?
(Suggest an Edit or Addition)According to Wikipedia, Maurice Moses "Maury" Obstfeld is a professor of economics at the University of California, Berkeley and previously Chief Economist at the International Monetary Fund. He is also a nonresident senior fellow at the Peterson Institute for International Economics.
Maurice Obstfeld's Published Works
Published Works
- Foundations of International Macroeconomics (1997) (3518)
- The Six Major Puzzles in International Macroeconomics: Is There a Common Cause? (2000) (2772)
- Exchange Rate Dynamics Redux (1994) (2158)
- Risk-Taking, Global Diversification, and Growth (1992) (1513)
- International Economics: Theory and Policy (1988) (1431)
- Models of Currency Crises with Self-Fulfilling Features (1995) (1398)
- The Mirage of Fixed Exchange Rates (1995) (1191)
- The Logic of Currency Crises (1994) (1150)
- Rational and Self-Fulfilling Balance-of-Payments Crises (1984) (1091)
- New Directions for Stochastic Open Economy Models (1999) (924)
- Commodity Trade and International Risk Sharing: How Much Do Financial Markets Matter? (1989) (889)
- Stories of the Twentieth Century for the Twenty-First (2011) (841)
- The Trilemma in History: Tradeoffs Among Exchange Rates, Monetary Policies, and Capital Mobility (2004) (738)
- Nonlinear Aspects of Goods-Market Arbitrage and Adjustment: Heckscher's Commodity Points Revisited (1997) (653)
- Intrinsic Bubbles: the Case of Stock Prices (1989) (596)
- Global Imbalances and the Financial Crisis: Products of Common Causes (2009) (586)
- Global Current Account Imbalances and Exchange Rate Adjustments (2005) (582)
- Financial Stability, the Trilemma, and International Reserves (2008) (575)
- Globalization and Capital Markets (2002) (520)
- Aggregate Spending and the Terms of Trade: Is There a Laursen-Metzler Effect? (1981) (511)
- The Intertemporal Approach to the Current Account (1994) (486)
- Global Implications of Self-Orientated National Monetary Rules (2001) (479)
- Risk and Exchange Rates (1998) (426)
- International Interest-Rate and Price-Level Linkages Under Flexible Exchange Rates: A Review of Recent Evidence (1985) (423)
- Global Capital Markets: Integration, Crisis, and Growth (2004) (421)
- International Finance and Growth in Developing Countries: What Have We Learned? (2009) (344)
- Regional non-adjustment and fiscal policy (1998) (342)
- The Great Depression as a Watershed: International Capital Mobility Over the Long Run (1997) (339)
- Exchange-Rate Dynamics (1983) (290)
- Financial Instability, Reserves, and Central Bank Swap Lines in the Panic of 2008 (2009) (277)
- Are Industrial-Country Consumption Risks Globally Diversified? (1993) (269)
- Two-Step Two-Stage Least Squares Estimation in Models with Rational Expectations (1983) (263)
- Macroeconomic Policy, Exchange-Rate Dynamics, and Optimal Asset Accumulation (1980) (258)
- Evaluating Risky Consumption Paths: the Role of Intertemporal Substitutability (1994) (258)
- Floating Exchange Rates: Experience and Prospects (1986) (255)
- International Macroeconomics: Beyond the Mundell-Fleming Model (2001) (251)
- Exchange Rate Dynamics Under Stochastic Regime Shifts: a Unified Approach (1989) (244)
- Financial Flows, Financial Crises, and Global Imbalances (2011) (241)
- Intenational Currency Experience: New Lessons and Lessons Relearned (1995) (217)
- Sovereign Risk, Credibility and the Gold Standard: 1870-1913 Versus 1925-31 (2002) (213)
- A note on exchange-rate expectations and nominal interest differentials (1981) (212)
- Intertemporal dependence, impatience, and dynamics☆ (1990) (205)
- Optimal Time-Consistent Fiscal Policy with Finite Lifetimes (1988) (203)
- In Search of the Armington Elasticity (2014) (191)
- Balance-of-Payments Crises and Devaluation (1983) (165)
- Trilemmas and Trade-Offs: Living with Financial Globalisation (2015) (155)
- The Euro and the Geography of International Debt Flows (2014) (145)
- Trilemmas and Tradeoffs: Living with Financial Globalization (2015) (142)
- Exchange Rates, Inflation and the Sterilization Problem: Germany, 1975-1981 (1982) (140)
- Exchange Rates and Adjustment: Perspectives from the New Open Economy Macroeconomics (2002) (136)
- Perspectives on OECD Economic Integration: Implications for US Current Account Adjustment (2000) (135)
- Intertemporal Dependence, Impatience, and Dynamics (1989) (129)
- Destabilizing Effects of Exchange-Rate Escape Clauses (1991) (128)
- How Integrated are World Capital Markets? Some New Tests (1986) (124)
- Europe's Gamble (1997) (122)
- A Tie That Binds: Revisiting the Trilemma in Emerging Market Economies (2017) (121)
- Speculative Attack and the External Constraint in a Maximizing Model of the Balance of Payments (1984) (120)
- The Effectiveness of Foreign-Exchange Intervention: Recent Experience (1988) (117)
- Can We Sterilize? Theory and Evidence (1982) (116)
- Ruling out divergent speculative bubbles (1986) (116)
- Fiscal Deficits and Relative Prices in a Growing World Economy (1988) (112)
- Finance at Center Stage: Some Lessons of the Euro Crisis (2013) (104)
- International Capital Mobility in the 1990s (1993) (103)
- Monetary Policy in the Open Economy Revisited: The Case for Exchange-Rate Flexibility Restored (2008) (102)
- Monetary Sovereignty, Exchange Rates, and Capital Controls: The Trilemma in the Interwar Period (2004) (101)
- International Trade: Theory and Policy (2014) (100)
- Saving, Investment, and Gold: A Reassessment of Historical Current Account Data (1997) (100)
- Stochastic Process Switching: Some Simple Solutions (1989) (96)
- Foreign Resource Inflows, Saving, and Growth (1998) (84)
- Intertemporal Price Speculation and the Optimal Current-Account Deficit (1983) (84)
- Capital Controls, the Dual Exchange Rate, and Devaluation (1984) (80)
- The Capital Inflows Problem Revisited: a Stylized Model of Southern Cone Disinflation (1984) (79)
- Chapter 34 The intertemporal approach to the current account (1995) (76)
- Intermediate Imports, the Terms of Trade, and the Dynamics of the Exchange Rate and Current Account (1980) (76)
- Capital Mobility and Devaluation in an Optimizing Model with Rational Expectations (1980) (75)
- Regional Nonadjustment and Fiscal Policy: Lessons for Emu (1999) (71)
- Dynamic Seigniorage Theory: an Exploration (1989) (66)
- Model Trending Real Exchange Rates (1993) (64)
- Open-Economy Macroeconomics, Developments in Theory and Policy (1998) (62)
- Capital Mobility and the Scope for Sterilization: Mexico in the 1970s (1981) (61)
- Money, Capital Mobility, and Trade : Essays in Honor of Robert A. Mundell (2001) (61)
- The International Monetary System: Living with Asymmetry (2011) (56)
- International Liquidity: The Fiscal Dimension (2011) (52)
- Global Economic Crisis (2012) (51)
- Multiple Stable Equilibria in an Optimizing Perfect-Foresight Model (1984) (51)
- Macroeconomic Management When Policy Space is Constrained; A Comprehensive, Consistent and Coordinated Approach to Economic Policy (2016) (51)
- Globalization, Macroeconomic Performance, and the Exchange Rates of Emerging Economies (2004) (47)
- Global Capital Markets (2005) (46)
- International Monetary Relations: Taking Finance Seriously (2017) (46)
- Time Consistency of Fiscal and Monetary Policy : A Comment (1990) (44)
- Do We Really Need a New International Monetary Compact? (2000) (43)
- Pricing-to-Market, the Interest-Rate Rule, and the Exchange Rate (2006) (43)
- Time of Troubles: The Yen and Japan&Apos;S Economy, 1985-2008 (2009) (43)
- Capital Flows, the Current Account, and the Real Exchange Rate: Consequences of Liberalization and Stabilization (1984) (42)
- The Capitalization of Income Streams and the Effects of Open Market Policy Under Fixed Exchange Rates (1980) (41)
- Lenders of Last Resort in a Globalized World (2009) (40)
- Revisiting the Economic Case for Fiscal Union in the Euro Area (2018) (40)
- International Economics: Theory and Policy (Pearson Horizon Edition) (2013) (40)
- Inflation-Targeting, Exchange-Rate Pass-Through, and Volatility (2002) (39)
- Imperfect Asset Substitutability and Monetary Policy Under Fixed Exchange Rates (1980) (37)
- On Keeping Your Powder Dry: Fiscal Foundations of Financial and Price Stability (2013) (37)
- The advantage of tying one's hands: EMS discipline and Central Bank credibility: Francesco Giavazzi and Marco Pagano (1988) (36)
- Covered Interest Parity Deviations: Macrofinancial Determinants (2019) (36)
- A Strategy for Launching the Euro (1998) (34)
- The Renminbi's Dollar Peg at the Crossroads (2006) (33)
- Global Capital Markets: Lessons for Today (2004) (31)
- Exchange-Rate Expectations and Nominal Interest Differentials: A Test Ofthe Fisher Hypothesis (1980) (31)
- Chapter 18 Exchange-rate dynamics (1985) (30)
- The immoderate world economy (2010) (30)
- Trade and Investment under Floating Rates: The U.S. Experience (1989) (30)
- A Model of Currency Depreciation and the Debt-Inflation Spiral (1991) (28)
- The Global Capital Market: Benefactor or Menace?" NBER Working Paper No (1998) (28)
- Sterilization and Offsetting Capital Movements: Evidence from West Germany, 1960-1970 (1980) (27)
- The Adjustment Mechanism (1991) (27)
- Advancing the Frontiers of Monetary Policy (2018) (26)
- International Adjustment with Habit-Forming Consumption: A Diagrammatic Exposition (1992) (26)
- International economics : theory and policy. – 6th ed / Paul R Krugman, Maurice Obstfeld. – (World student series) (2007) (26)
- Peso Problems, Bubbles, and Risk in the Empirical Assessment of Exchange-Rate Behavior (1987) (26)
- Global Dimensions of U.S. Monetary Policy (2019) (26)
- Expanding gross asset positions and the international monetary system (2010) (26)
- Relative Prices, Employment, and the Exchange Rate in an Economy with Foresight (1981) (25)
- History and Theory of the NAIRU: A Critical Review (1997) (23)
- International risk sharing and capital mobility: another look (1992) (23)
- Exchange Rate Dynamics Redux Author ( s ) : (1995) (22)
- Never Say Never: Commentary on a Policymaker’s Reflections (2014) (22)
- DYNAMIC SEIGNIORAGE THEORY (1997) (21)
- America’s Deficit, the World’s Problem (2005) (19)
- Competitiveness, Realignment, and Speculation: the Role of Financial Markets (1988) (17)
- Capital Flows, the Current Account, and the Real Exchange Rate: Some Consequences of Stabilization and Liberalization (2019) (17)
- Global Financial Cycles and the Exchange Rate Regime: A Perspective from Emerging Markets (2018) (17)
- International Finance and Growth in Developing Countries (2008) (16)
- Transitory Terms-of-Trade Shocks and the Current Account: The Case of Constant Time Preference (1981) (15)
- International Finance: Theory and Policy (2017) (14)
- Revisiting speculative hyperinflations in monetary models☆ (2017) (13)
- Global Economic Crisis: Impacts, Transmission and Recovery (2012) (13)
- China's Bond Market and Global Financial Markets (2018) (12)
- Intertemporal Price Speculation and the Optimal Current-Account Deficit: Reply and Clarification (1996) (12)
- Globalization and macroeconomics (2000) (12)
- How to Improve Inflation Targeting in Canada (2016) (11)
- Global Dimensions of US Monetary Policy (2019) (10)
- Harry Johnson's 'Case for Flexible Exchange Rates' - 50 Years Later (2020) (9)
- Crises and the International System (2013) (8)
- Optimal Time-Consistent Fiscal Policy with Uncertain Lifetimes (1985) (8)
- Implications for the Yen of Japanese Current Account Adjustment (2006) (8)
- Meeting Globalization's Challenges: Policies to Make Trade Work for All (2019) (8)
- Macroeconomic Management When Policy Space is Constrained (2016) (8)
- Globalization and Nationalism: Retrospect and Prospect (2020) (7)
- Global Capital Markets: The Political Economy of Capital Mobility (2004) (7)
- America's Deficit, the World's Problem: Keynote Speech (2005) (7)
- Ruling Out Nonstationary Speculative Bubbles (1985) (6)
- EBOOK : International Economics: Theory & Policy, 11th Edition (2018) (6)
- SOVEREIGN RISK, C REDIBILITY AND T HE GOLD STANDARD: 1870-1913 V ERSUS 1 925-31* (2003) (6)
- [Are Currency Crises Self-Fulfilling?]: Comment (1996) (6)
- Twenty Five Years of Global Imbalances (2018) (6)
- On the use of open economy new Keynesian models to evaluate policy rules (2014) (6)
- Two challenges from globalization (2020) (5)
- How the G20 can hasten recovery from COVID-19 (2020) (5)
- International economics : theory and policy [Krugman, 2003] (2000) (5)
- The Yen and Japan's Economy, 1985-2007 (2009) (5)
- GLOBALIZATION AND CAPITAL MOBILITY IN HISTORICAL PERSPECTIVE ( (2002) (5)
- The Political Economy of the Globalization Backlash: Sources and Implications (2019) (4)
- Financial Policies and the World Capital Market (2009) (4)
- Lender of Last Resort and Global Liquidity (2009) (4)
- Reflections upon Rereading "The Capital Myth" (2005) (3)
- Inflation, Real Interest, and the Determinacy of Equilibrium in an Optimizing Framework (1981) (3)
- Harry Johnson's “Case for Flexible Exchange Rates”—50 Years Later (2020) (3)
- Instructor's manual to accompany International economics : theory and policy (1991) (3)
- The Initial Economic Impact of Brexit: An Update to Early December 2016 (2017) (3)
- Globalization Cycles (2020) (3)
- Overshooting Agricultural Commodity Markets and Public Policy: Discussion (1986) (3)
- Study guide to accompany International economics : theory and policy (2003) (2)
- "Challenges for Sustained Economic Growth under Changing Economic, Social, and International Environments," Concluding Panel Discussion: Sustained Economic Growth and Central Banking (2004) (2)
- The Global Dollar Cycle (2023) (2)
- Reprint: Two challenges from globalization (2021) (2)
- The Thirteenth International Conference "Financial Markets and the Real Economy in a Low Interest Rate Environment," Concluding Panel Discussion: Financial Markets and the Real Economy in a Low Interest Rate Environment (2006) (2)
- Liquidity and the International Monetary System (2012) (1)
- Chapter 12. United States: Federal Reserve’s Dual Mandate (2018) (1)
- U.S. International capital flows: Perspectives from rational maximizing models: A comment (1989) (1)
- Comment on: "Rational speculation and exchange rates" (2005) (1)
- Revisiting Speculative Hyperin fl ations in Monetary Models (2017) (1)
- Monetary and Fiscal Policy in a Liquidity Trap (2006) (1)
- Global Capital Markets: Globalization in Capital Markets: A Long-Run Narrative (2004) (1)
- America’s Deficit, the World’s Problem (2005) (1)
- Global Capital Markets: Globalization in Capital Markets: Quantity Evidence (2004) (1)
- The International Financial System after COVID-19 (2022) (1)
- Financial shocks and business cycles: lessons form outside the United States (1998) (1)
- Global Capital Markets: Uneven Rewards and Risks (2004) (1)
- International Finance (1986) (1)
- Navigating the low Global growth environment and prospect for monetary integration in the EAC (2016) (0)
- University of California , Berkeley Europe ' s Gamble AFTER THREE DECADES (2007) (0)
- Part III: Inflation-Forecast Targeting in Four Countries (2018) (0)
- Living with Asymmetry (2015) (0)
- Book reviews (2002) (0)
- Guest Editors’ Preface to the Special Issue on International Financial Linkages and Crises (2014) (0)
- Comment on "Special Deals with Chinese Characteristics " (2019) (0)
- Working Paper No . C 93-011 Model Trending Real Exchange Rates (2016) (0)
- The Fourteenth International Conference "Growth, Integration and Monetary Policy in East Asia," Concluding Panel Discussion: Growth, Integration, and Monetary Policy in East Asia (2007) (0)
- Exchange Rates Targets (1991) (0)
- Part II: Principles and Practices of Inflation-Forecast Targeting (2018) (0)
- Remoteness and Real Exchange Rate Volatility -- Prepared by Claudio Bravo-Ortega and Julian di Giovanni -- January 1, 2005 -- IMF Working Paper No. 05/01 (2004) (0)
- The Twelfth International Conference "Incentive Mechanisms for Economic Policymakers," Concluding Panel Discussion: Macroeconomic Policy and Central Banking (2005) (0)
- Labor Productivity and Comparative Advantage: The Ricardian Model (2006) (0)
- Optimal fiscal policy in a monetary union - comments (2005) (0)
- Chapter 5. Monetary Operations (2018) (0)
- Chapter 6. Monetary Policy and Financial Stability (2018) (0)
- FINANCIAL CRISES, BUBBLES AND CRASHES (2008) (0)
- Stabilization and Liberalization (2007) (0)
- List of Contributors, Indexes (1983) (0)
- Financial Policies and the World Capital Market: The Problem of Latin American Countries. (1985) (0)
- Global Capital Markets: Monetary Policy Interdependence and Exchange-Rate Regimes (2004) (0)
- Global Capital Markets: Uneven Integration (2004) (0)
- Never Say Never: Commentary on a Policymaker’s Reflections (2014) (0)
- Exchange-Rate Dynamics and Optimal Asset Accumulation Revisited (1988) (0)
- Comment (2020) (0)
- Global Capital Markets: Bibliography (2004) (0)
- A Tie That Binds (2017) (0)
- International economics : theory and policy / Paul R. Krugman, Princeton University, Maurice Obstfeld, University of California, Berkeley, Marc J. Melitz, Harvard University. (2015) (0)
- "Exchange Rate Regimes in the 21st Century," Concluding Panel Discussion: The Role of Central Banks in Exchange Rate Regimes in the 21st Century (2002) (0)
- Global Capital Markets: The Changing Nature of Government Credibility (2004) (0)
- D OES F INANCIAL I NTEGRATION S PUR E CONOMIC G ROWTH ? N EW E VIDENCE FROM THE F IRST E RA OF F INANCIAL G LOBALIZATION (2006) (0)
- Linkages among Capital Flows, Trade, and Growth in Developing Economies (Policy Brief) (2009) (0)
- FINANCIAL GLOBALIZATION (2006) (0)
- No . C 96-075 Destabilizing Effects of Exchange-Rate Escape Clauses (2016) (0)
- Financial Crises in Emerging Markets: Discussion (2001) (0)
- WP / 16 / 37 Sovereign Defaults , External Debt , and Real Exchange Rate Dynamics (2016) (0)
- NBER WORKING PAPER SERIES INTERNATIONAL LIQUIDITY AND EXCHANGE RATE DYNAMICS (2014) (0)
- Global Capital Markets: Global Capital Markets: Overview and Origins (2004) (0)
- Foundations of International Macroeconomics 1 Workbook 2 (2003) (0)
- Working Paper No . C 98-099 Foreign Resource Inflows , Saving , and Growth (0)
- Introduction to "Financial Policies and the World Capital Market: The Problem of Latin American Countries" (1983) (0)
- A Theory of Aggregate Supply and Aggregate Demand as Functions of Market Tightness with Prices as Parameters " and " A Model of Aggregate Demand and Unemployment (2014) (0)
- www.econstor.eu Sovereign Debt Restructurings: Preemptive or Post-Default (2015) (0)
- Globalization in Capital Markets: Price Evidence (2004) (0)
- 1 . 1 The Emergence of World Capital Markets (2002) (0)
- Global Capital Markets in the Long Run: A Review of Maurice (2016) (0)
- Harry Johnson's "case for flexible exchange rates"—50 years later (2020) (0)
- Covered Interest Parity Deviations: Macrofinancial Determinants, WP/19/14, January 2019 (2019) (0)
- Chapter 2. First Principles (2018) (0)
- CHAPTER NINE. Addressing Climate Change: Does the IMF Have a Role? (2018) (0)
- Public debt management: theory and history: Discussion (1990) (0)
- Front Matter (“Table of Contents”) (2020) (0)
- Study guide to accompany : Krugman Obstfeld : international economics : theory and policy (2000) (0)
- Working Paper No . C 97-085 Dynamic Seigniorage Theory : An Exploration (2016) (0)
- No . C 93-014 Are Industrial-Country Consumption Risks Globally Diversified ? (2016) (0)
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