Paul De Grauwe
#182,830
Most Influential Person Now
Paul De Grauwe's AcademicInfluence.com Rankings
Paul De Grauweeconomics Degrees
Economics
#4076
World Rank
#4613
Historical Rank
Monetary Economics
#156
World Rank
#167
Historical Rank
Macroeconomics
#444
World Rank
#476
Historical Rank

Download Badge
Economics
Why Is Paul De Grauwe Influential?
(Suggest an Edit or Addition)Paul De Grauwe's Published Works
Number of citations in a given year to any of this author's works
Total number of citations to an author for the works they published in a given year. This highlights publication of the most important work(s) by the author
Published Works
- Self-Fulfilling Crises in the Eurozone: An Empirical Test (2012) (603)
- Is Inflation Always and Everywhere a Monetary Phenomenon? (2001) (330)
- Endogeneities of Optimum Currency Areas: What Brings Countries Sharing a Single Currency Closer Together? (2005) (300)
- Mispricing of Sovereign Risk and Macroeconomic Stability in the Eurozone (2012) (205)
- Exchange Rate Regimes and Macroeconomic Stability in Central and Eastern Europe (2004) (150)
- Mispricing of Sovereign Risk and Multiple Equilibria in the Eurozone (2012) (132)
- Forecasting and combining competing models of exchange rate determination (2006) (124)
- Learning to Forecast the Exchange Rate: Two Competing Approaches (2006) (123)
- A New Two-Pillar Strategy for the ECB (2009) (120)
- The Impact of FX Central Bank Intervention in a Noise Trading Framework (2005) (109)
- Exchange Rate Stability, Inflation, and Growth in (South) Eastern and Central Europe (2008) (103)
- Exchange Rate Dynamics in a Target Zone: A Heterogeneous Expectations Approach (2009) (89)
- Globalization and Social Spending (2003) (84)
- Exchange Rates and Fundamentals a Non-Linear Relationship? (2001) (82)
- Bubbling and Crashing Exchange Rates (2003) (76)
- Animal Spirits and Credit Cycles (2013) (76)
- The Exchange Rate in a Model with Heterogeneous Agents and Transactions Costs (2002) (72)
- Bubbles and Crashes in a Behavioural Finance Model (2004) (71)
- A Model of the Card Payment System and the Interchange Fee (2002) (69)
- Exchange Rate Variability and the Slowdown in Growth of International Trade (1987) (64)
- African trade dynamics: is China a different trading partner? (2012) (64)
- Fundamental and Non-Fundamental Equilibria in the Foreign Exchange Market. A Behavioural Finance Framework (2005) (62)
- The Fragility of Two Monetary Regimes: The European Monetary System and the Eurozone (2013) (59)
- Non-Linearities in the Relation between the Exchange Rate and its Fundamentals (2005) (52)
- The Exchange Rate and its Fundamentals in a Complex World (2005) (49)
- Nominal Versus Real Convergence with Respect to Emu Accession - Emu Entry Scenarios for the New Member States (2005) (46)
- What Germany Should Fear Most is Its Own Fear: An Analysis of Target2 and Current Account Imbalances (2012) (46)
- DSGE-Modelling: When Agents are Imperfectly Informed (2008) (41)
- The Future of the Eurozone (2014) (40)
- Exchange Rate Dynamics in a Target Zone - A Heterogeneous Expectations Approach (2007) (35)
- Europe for Growth: For a Radical Change in Financing the EU (2011) (33)
- Union-Wide Aggregates Versus National Data Based Monetary Policies: Does it Matter for the Eurosystem? (2001) (33)
- Correcting for the Eurozone Design Failures: The Role of the ECB (2015) (32)
- Only a More Active ECB Can Solve the Euro Crisis (2011) (30)
- Asymmetries in Monetary Policy Transmission: Some Implications for Emu and its Enlargement (2004) (29)
- Crisis in the Eurozone and how to Deal with It (2010) (29)
- Flexibility versus Stability. A Difficult Trade-Off in the Eurozone (2016) (29)
- Fiscal Implications of the ECB’s Bond Buying Program (2013) (29)
- The International Synchronisation of Business Cycles: the Role of Animal Spirits (2017) (28)
- Has the Eurozone Become Less Fragile? Some Empirical Tests (2015) (28)
- Inflation Targets and the Zero Lower Bound in a Behavioural Macroeconomic Model (2016) (25)
- The Governance of a Fragile Eurozone (2011) (23)
- The EU Debt Crisis: Testing and Revisiting Conventional Legal Doctrine (2016) (23)
- The Exchange Rate and its Fundamentals. A Chaotic Perspective (2002) (23)
- Monetary Policy in Emu When the Transmission is Assymmetric and Uncertain (2003) (22)
- Unemployment and drug treatment. (2011) (19)
- Intervention in the Foreign Exchange Market in a Model with Noise Traders (2003) (14)
- A Less Punishing, More Forgiving Approach to the Debt Crisis in the Eurozone (2011) (14)
- Globalisation and Social Spending (2003) (14)
- How Safe is a Safe Asset? (2018) (13)
- Disappearing Government Bond Spreads in the Eurozone – Back to Normal? (2014) (13)
- Structural Reforms, Growth and Inequality: an Overview of Theory, Measurement and Evidence (2017) (12)
- Design Failures in the Eurozone: Can They Be Fixed? (2013) (12)
- Economic recession, drug use and public health. (2011) (10)
- International Correlation of Business Cycles in a Behavioral Macroeconomic Model (2016) (10)
- Fiscal Rules, Financial Stability and Optimal Currency Areas (2015) (10)
- The Future of the Eurozone and Gold (2010) (9)
- The Double Effect of COVID-19 Confinement Measures and Economic Recession on High-Risk Drug Users and Drug Services (2021) (8)
- Effectiveness of Monetary Policy in Euroland (1999) (8)
- Animal Spirits and the International Transmission of Business Cycles (2016) (8)
- Eight months later — Has the Eurozone been stabilised or will EMU fall apart? (2010) (7)
- The Need for Monetary Financing of Corona Budget Deficits (2020) (6)
- Core-Periphery Relations in the Eurozone (2018) (6)
- The cocaine and heroin markets in the era of globalisation and drug reduction policies. (2009) (5)
- Globalization and the Price Decline of Illicit Drugs (2007) (5)
- Strong Governments, Weak Banks (2013) (5)
- Stock Market Cycles and Supply Side Dynamics: Two Worlds, One Vision? (2015) (5)
- The fragility of the eurozone: Has it disappeared? (2021) (4)
- Animal Spirits and Fiscal Policy (2018) (4)
- The Fragility of the Eurozone’s Institutions (2010) (4)
- In Search of Symmetry in the Eurozone (2012) (3)
- The European Central Bank: Lender of Last Resort in the Government Bond Markets? (2011) (3)
- Financial Crises and Liberalization: Progress or Reversals? (2020) (3)
- Lessons from the Eurocrisis for East Asian Monetary Relations (2012) (2)
- Fiscal Policies in Booms and Busts (2019) (2)
- Endogenous Asymmetric Shocks in the Eurozone. The Role of Animal Spirits (2017) (2)
- Structural Reforms and Monetary Policies in a Behavioural Macroeconomic Model (2017) (2)
- Booms and Busts: New Keynesian and Behavioral Explanations (2010) (2)
- Stock Market Cycles and Supply Side Dynamics (2015) (2)
- Top-Down versus Bottom-Up Macroeconomics (2010) (2)
- Inflation Risk? (2021) (1)
- Is Monetary Policy in the Eurozone Less Effective than in the Us? (2005) (1)
- Assessing Monetary Policy in Norway (2001) (1)
- Analyzing Structural Reforms Using a Behavioral Macroeconomic Model (2017) (1)
- Stock Prices and Monetary Policy (2008) (1)
- European Monetary Unification: A Few Lessons for East Asia (2016) (1)
- Modeling Optimism and Pessimism in the Foreign Exchange Market (2007) (1)
- Towards a New Euro Crisis? (2022) (1)
- Time to Change Budgetary Priorities in the Eurozone (2019) (1)
- Financial Crises and Liberalisation: Progress or Reversals? (2019) (1)
- Financial Policymaking after Crises: Public vs. Private Interests (2021) (1)
- Should Central Banks Target Stock Prices? (2008) (0)
- What Kind of Governance for the Eurozone? (2010) (0)
- The risks of exiting too early the policy responses to the COVID-19 recession (2021) (0)
- Behavioural Economics is Useful Also in Macroeconomics: The Role of Animal Spirits (2018) (0)
- A Fragile Eurozone in Search of a Better Governance (2011) (0)
- Macroeconomic Modeling When Agents are Imperfectly Informed (2008) (0)
- Should Central Banks Be Forward-Looking? (2020) (0)
- What Future for the EU After Brexit? (2016) (0)
- Financial Policymaking after Crises: Public vs. Private Interest (2020) (0)
- The International Synchronisation of Business Cycles: the Role of Animal Spirits (2017) (0)
- Deflationary Traps, Agents’ Beliefs and Fiscal-Monetary Policies (2022) (0)
- Monetary Policy in a Cashless Society (2001) (0)
- Electronic Money and the Optimal Size of Monetary Unions (2002) (0)
- The Need for Monetary Financing of Corona Budget Deficits (2020) (0)
- Comments on the Papers by Salvatore, Hamada, Capie, Fratianni et al., and Von Hagen and Fender (1998) (0)
- Inflation Risk? (2021) (0)
- A Behavioral Finance Model of the Exchange Rate with Many Forecasting Rules (2006) (0)
- On the Use of Current or Forward-Looking Data in Monetary Policy: A Behavioural Macroeconomic Approach (2022) (0)
- Fiscal Implications of the ECB’s Bond Buying Program (2013) (0)
- The Effects of Monetary Policy: A Meta-Analysis (2004) (0)
- Animal Spirits and Monetary Policy (2008) (0)
- Is there a trade-off between free capital mobility, financial stability and fiscal policy flexibility in the EMU? (2017) (0)
This paper list is powered by the following services: