Moritz Schularick
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German economist
Moritz Schularick's AcademicInfluence.com Rankings
Moritz Schularickeconomics Degrees
Economics
#1212
World Rank
#1406
Historical Rank
Financial Economics
#77
World Rank
#77
Historical Rank
Macroeconomics
#172
World Rank
#182
Historical Rank
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Economics
Moritz Schularick's Degrees
- PhD Economics University of Bonn
- Masters Economics University of Bonn
- Bachelors Economics University of Bonn
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Why Is Moritz Schularick Influential?
(Suggest an Edit or Addition)According to Wikipedia, Moritz Schularick is a German economist, who is Professor of Economics at Sciences Po Paris and the University of Bonn. He works in the fields of macrofinance, banking and financial stability, as well as international finance, political economy, and economic history.
Moritz Schularick's Published Works
Published Works
- Credit Booms Gone Bust: Monetary Policy, Leverage Cycles and Financial Crises, 1870-2008 (2009) (2473)
- Financial Crises, Credit Booms, and External Imbalances: 140 Years of Lessons (2010) (677)
- The Great Mortgaging: Housing Finance, Crises, and Business Cycles (2014) (550)
- Macrofinancial History and the New Business Cycle Facts (2016) (490)
- When Credit Bites Back (2013) (436)
- Going to Extremes: Politics after Financial Crises, 1870-2014 (2015) (393)
- No Price Like Home: Global House Prices, 1870-2012 (2014) (365)
- The Rate of Return on Everything, 1870-2015 (2017) (358)
- Leveraged Bubbles (2015) (313)
- The Empire Effect: The Determinants of Country Risk in the First Age of Globalization, 1880-1913 (2006) (220)
- Sovereigns Versus Banks: Credit, Crises, and Consequences (2013) (188)
- Financial Integration, Investment, and Economic Growth: Evidence from Two Eras of Financial Globalization (2010) (163)
- Income and Wealth Inequality in America, 1949–2016 (2017) (144)
- Bank Capital Redux: Solvency, Liquidity, and Crisis (2017) (124)
- Does Financial Integration Spur Economic Growth? New Evidence from the First Era of Financial Globalization (2006) (113)
- The Costs of Economic Nationalism: Evidence from the Brexit Experiment (2017) (107)
- Betting the House (2014) (99)
- Global Financial Cycles and Risk Premiums (2018) (98)
- The Effects of Quasi-Random Monetary Experiments (2017) (93)
- The Costs of Macroprudential Policy (2018) (93)
- ‘Chimerica’ and the Global Asset Market Boom* (2007) (88)
- Tariffs and economic growth in the first era of globalization (2011) (80)
- A Tale Of Two “Globalizations”: Capital Flows From Rich To Poor In Two Eras Of Global Finance (2006) (68)
- The Macroeconomic Effects of Large Exchange Rate Appreciations (2013) (66)
- The End of Chimerica (2009) (59)
- When to Lean Against the Wind (2017) (48)
- Zombies at Large? Corporate Debt Overhang and the Macroeconomy (2020) (31)
- What if? The Economic Effects for Germany of a Stop of Energy Imports from Russia (2022) (28)
- Populist Leaders and the Economy (2020) (27)
- The Economic Consequences of the Brexit Vote (2017) (25)
- Public debt and financial crises in the twentieth century (2012) (24)
- The End of Chimerica: The End of Chimerica (2011) (23)
- The Macroeconomic Effects of Macroprudential Policy (2018) (20)
- Large and State-Dependent Effects of Quasi-Random Monetary Experiments (2017) (18)
- Monetary Policy and Racial Inequality (2021) (18)
- Disasters Everywhere: The Costs of Business Cycles Reconsidered (2020) (18)
- The Total Risk Premium Puzzle (2019) (18)
- The 'Thin film of gold': monetary rules and policy credibility (2012) (18)
- Leaning Against the Wind and Crisis Risk (2020) (18)
- Modigliani Meets Minsky: Inequality, Debt, and Financial Fragility in America, 1950-2016 (2020) (17)
- Central Bank Balance Sheets: Expansion and Reduction Since 1900 (2015) (17)
- Public and Private Debt: The Historical Record (1870–2010) (2014) (16)
- The Distribution of Wealth in Germany, 1895-2018 ∗ (2020) (14)
- The Lucas Paradox and the Quality of Institutions: Then and Now (2008) (14)
- The Making of America's Imbalances (2012) (12)
- Income and Wealth Inequality in America, 1949-2013 (2017) (12)
- The Great Mortgaging (2016) (11)
- Private Credit and Public Debt in Financial Crises (2014) (11)
- Stable genius? The macroeconomic impact of Trump ∗ (2021) (10)
- Wealth of Two Nations: The U.S. Racial Wealth Gap, 1860-2020 (2022) (10)
- Does Financial Integration Spur Economic Growth?; ; CESifo working paper; (2006) (10)
- Does financial integration spur economic growth (2006) (9)
- Bank Capital and the European Recovery from the COVID-19 Crisis (2020) (9)
- The "Thin Film of Gold": Monetary Rules and Policy Credibility in Developing Countries (2008) (9)
- The College Wealth Divide: Education and Inequality in America, 1956-2016 (2019) (8)
- Interest rates and house prices: pill or poison? (2015) (7)
- Touching the Brakes after the Crash: A Historical View of Reserve Accumulation and Financial Integration (2010) (7)
- The macroeconomic impact of Trump (2019) (6)
- The Great American Debt Boom, 1949-2013∗ (2017) (6)
- “The Thin Film Of Gold”: The Limits Of Monetary Commitments (2005) (5)
- Household Credit in Asia-Pacific (2017) (5)
- Exportweltmeister: The Low Returns on Germany's Capital Exports (2019) (5)
- Wealth and Income Inequality in America, 1949-2013 (2017) (5)
- Global Financial Cycles and Risk Premiums (2019) (4)
- The End of Financial Globalization 3.0 (2010) (4)
- Financial Globalization and Emerging Market Bond Price Bubbles: Some Historical Lessons (2006) (4)
- Trade and Economic Growth: Historical Evidence (2009) (4)
- The Financial Crisis Is Still Empowering Far-Right Populists (2018) (4)
- Inequality and Household Debt in America, 1948 - 2013 (2015) (4)
- Evidence From Two Eras of Financial Globalization (2007) (3)
- The Macroeconomic Effects of Large Exchange Rate Appreciations (2012) (3)
- Dilemma or Trilemma ? Global Financial Cycles and Exchange Rate Regimes , 1870-2013 (2015) (3)
- Corporate indebtedness and macroeconomic stabilisationfrom a long-term perspective (2021) (3)
- Replication data for: Credit Booms Gone Bust: Monetary Policy, Leverage Cycles, and Financial Crises, 1870-2008 (2019) (2)
- The Lucas paradox and the quality of institutions (2008) (2)
- Financial Stability Considerations for Monetary Policy: Empirical Evidence and Challenges (2022) (2)
- Russia 2010: It's a Russian Bear, Not a Bull! (2003) (2)
- 140 Years of Financial Crises: Old Dog, New Tricks (2011) (2)
- Bubbles, Credit, and Their Consequences (2016) (2)
- The Empire Effect: Country Risk in the First Age of Globalization, 1880-1913 (2005) (1)
- The Cost of Populism: Evidence from History (2021) (1)
- Documentation of Immunity Coding: Criminal Immunity Provisions in 73 Democratic Countries (2013) (1)
- Towards a New Paradigm: Stabilising Financial Markets (2018) (1)
- Wealth and its Distribution in Germany, 1895-2018 (2022) (1)
- Superstar Returns (2021) (1)
- Are the CEE-4 currencies fundamentally undervalued? (2005) (1)
- International Capital Flows (2016) (1)
- FINANCIAL GLOBALIZATION (2006) (0)
- Monetary Policy Medicine: Large Effects from Small Doses? (2017) (0)
- Guide to Immunity Coding (2013) (0)
- Leveraged (2022) (0)
- Survival of the Biggest: Large Banks and Crises since 1870 (2022) (0)
- The Sixteenth Dubrovnik Economic Conference (2010) (0)
- Kaspar Zimmermann Towards a New Paradigm : Stabilising Financial Markets (2018) (0)
- The Cambridge economic history of modern Europe – Edited by Stephen Broadberry and Kevin H. O'Rourke (2012) (0)
- Stable genius: Estimating the 'Trump effect' on the US economy (2021) (0)
- Loose Monetary Policy and Financial Instability (2023) (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)
- The Anatomy of the Global Saving Glut (2022) (0)
- Documentation of Immunity Coding (2013) (0)
- The College Wealth Divide Continues to Grow (2020) (0)
- Eugene N. White, Kenneth Snowden, and Price Fishback eds., Housing and mortgage markets in historical perspective (Chicago: University of Chicago Press, 2014. Pp. 496. 50 tabs. ISBN 9780226073842 Hbk. $110) (2016) (0)
- Immunity (2013) (0)
- The massive inflow of foreign capital in the 2000s that enabled the American credit bubble was primarily from the private sector, not governments (2014) (0)
- The Total Risk Premium Puzzle? (2019) (0)
- Towards a New Paradigm: Stabilising Financial Markets (2018) (0)
- Financialization: Questions For Economic History (2014) (0)
- A New Economic Paradigm (2018) (0)
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What Schools Are Affiliated With Moritz Schularick?
Moritz Schularick is affiliated with the following schools: