Pierre L. Siklos
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(Suggest an Edit or Addition)Pierre L. Siklos's Published Works
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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
- Cointegration and Threshold Adjustment (1998) (1265)
- What Has Driven Chinese Monetary Policy Since 1990? Investigating the People's Bank's Policy Rule (2006) (130)
- The Changing Face of Central Banking: Evolutionary Trends since World War II (2002) (121)
- Is seasonal adjustment a linear or nonlinear data-filtering process? (1996) (107)
- Inflation Target Design, Changing Inflation Performance and Persistence in Industrial Countries (1998) (105)
- REGIME-SENSITIVE COINTEGRATION WITH AN APPLICATION TO INTEREST-RATE PARITY (1997) (88)
- European Stock Markets and the ECB's Monetary Policy Surprises (2008) (88)
- Exchange Rate Regimes and Shifts in Inflation Persistence: Does Nothing Else Matter? (1998) (87)
- Systematic sampling, temporal aggregation, seasonal adjustment, and cointegration theory and evidence (1995) (84)
- No Single Definition of Central Bank Independence is Right for All Countries (2008) (82)
- Foreign exchange market intervention in two small open economies: the Canadian and Australian experience (2003) (82)
- Convergence in Interest Rates and Inflation Rates Across Countries and Over Time (1997) (79)
- Enter the Dragon: Interactions between Chinese, US and Asia-Pacific Equity Markets, 1995-2010 (2011) (79)
- Income Velocity and Institutional Change: Some New Time Series Evidence, 1870-1986 (1993) (78)
- Sources of Disagreement in Inflation Forecasts: An International Empirical Investigation (2012) (73)
- Do Central Banks React to the Stock Market? The Case of the Bundesbank (2007) (73)
- Integration Among Asia‐Pacific and International Stock Markets: Common Stochastic Trends and Regime Shifts (2001) (69)
- Empirical evidence on feedback trading in mature and emerging stock markets (2008) (64)
- An Empirical Analysis of the Link Between Immigration and Unemployment in Canada (1994) (62)
- Central bank transparency: another look (2010) (59)
- The Present Value Model of Us Stock Prices Redux: A New Testing Strategy and Some Evidence (2002) (57)
- Policy Words and Policy Deeds: The ECB and the Euro (2008) (50)
- Central Bank Credibility: An Historical and Quantitative Exploration (2015) (50)
- The Changing Face of Central Banking (2002) (50)
- Institutional Change and the Velocity of Money: A Century of Evidence (1997) (44)
- Unit roots and seasonal unit roots in macroeconomic time series: Canadian evidence (1991) (44)
- Asset Prices in Taylor Rules: Specification, Estimation, and Policy Implications for the ECB (2004) (44)
- Deflation : current and historical perspectives (2004) (44)
- Optimal Monetary Policy Rules and Inflation Targets: Are Australia, Canada, and New Zealand Different from the U.S.? (2004) (43)
- Central Bank Credibility, Reputation and Inflation Targeting in Historical Perspective (2014) (40)
- Central Bank Credibility before and after the Crisis (2015) (40)
- Quantifying the Impact of the November 2014 Shanghai-Hong Kong Stock Connect (2017) (40)
- Benchmarking Macroprudential Policies: An Initial Assessment (2016) (40)
- On the (mis)specification of seasonality and its consequences: An empirical investigation with US data (1993) (40)
- Inflation Targeting Around the World (2007) (39)
- A note on the critical values for the maximum likelihood (seasonal) cointegration tests (1995) (35)
- Estimating Taylor-Type Rules: An Unbalanced Regression? (2004) (34)
- Assessing the Impact of Changes in Transparency and Accountability at the Bank of Canada (2003) (34)
- Austerity and recovery: Exchange rate regime choice, economic growth, and financial crises (2016) (33)
- Speculative activity and returns volatility of Chinese agricultural commodity futures (2017) (33)
- Emerging Market Yield Spreads: Domestic, External Determinants, and Volatility Spillovers (2008) (33)
- Meeting Maastricht: Nominal convergence of the new member states toward EMU (2010) (32)
- Central Banks: Evolution and Innovation in Historical Perspective (2017) (32)
- The role of seasonality in economic time series reinterpreting money-output causality in U.S. data (1997) (31)
- Stock Returns and Inflation: A New Test of Competing Hypotheses (1999) (31)
- Monetary aggregates as indicators of economic activity in Canada: empirical evidence (2001) (30)
- A Survey of the International Evidence and Lessons Learned About Unconventional Monetary Policies: Is a ‘New Normal’ in Our Future? (2018) (30)
- Is the MCI a Useful Signal of Monetary Policy Conditions? An Empirical Investigation (2000) (29)
- Challenges in Central Banking: The Current Institutional Environment And Forces Affecting Monetary Policy (2013) (29)
- The effect of index futures trading on volatility: Three markets for Chinese stocks (2015) (28)
- Short Selling Bans and Institutional Investors' Herding Behavior: Evidence from the Global Financial Crisis (2011) (28)
- Stock Return Seasonalities and Investor Structure: Evidence From China's B-Share Market (2008) (28)
- Is Hungary Ready for Inflation Targeting? (2001) (27)
- Varieties of monetary reforms : lessons and experiences on the road to monetary union (1994) (24)
- Money and Finance in the Transition to a Market Economy (1998) (24)
- Global Inflation Dynamics and Inflation Expectations (2018) (24)
- Asset Prices as Indicators of Euro Area Monetary Policy: An Empirical Assessment of Their Role in a Taylor Rule (2009) (24)
- Capital Flows in a Transitional Economy and the Sterilization Dilemma: The Hungarian Experience, 1992-97 (1998) (23)
- A Threshold Model of Real U.S. GDP and the Problem of Constructing Confidence Intervals in TAR Models (2007) (22)
- Money, Banking and Financial Institutions: Canada in the Global Environment (2006) (22)
- Central Bank Behavior, the Institutional Framework, and Policy Regimes: Inflation Versus Noninflation Targeting Countries (2004) (21)
- Faceoff: Should the Bank of Canada Release its Projections of the Interest Rate Path? - The Cases for and Against (2010) (20)
- Price Discovery in Agricultural Commodity Markets: Do Speculators Contribute? (2019) (19)
- Boom-and-Bust Cycles in Emerging Markets: How Important is the Exchange Rate? (2017) (19)
- Alternative exchange-rate regimes: The options for Latin America (2002) (19)
- Political and Economic Determinants of Interest Rate Behavior: Are Central Banks Different? (1996) (19)
- The Bundesbank's Inflation Policy and Asymmetric Behavior of the German Term Structure (2002) (19)
- What Drove the Mid-2000s Explosiveness in Alternative Energy Stock Prices? Evidence from U.S., European and Global Indices (2015) (18)
- Identifying the Shocks Driving Inflation in China (2007) (18)
- The Influence of Seasonal Adjustment on the Canadian Consumption Function, 1947-1991 (1993) (18)
- What Can We Learn from Comprehensive Data Revisions for Forecasting Inflation: Some US Evidence (2006) (17)
- Price inertia and policy ineffectiveness in the United States, 1890-1984: A reappraisal (1990) (17)
- The End of the Hungarian Hyperinflation of 1945-1946 (1989) (17)
- Cointegration and the term structure: A multicountry comparison (1996) (17)
- An empirical exploration of revisions in US national income aggregates (1996) (17)
- Macroeconomic Consequences of the Real-Financial Nexus: Imbalances and Spillovers between China and the U.S (2015) (17)
- Do Actions Speak Louder than Words? Evaluating Monetary Policy at the Bundesbank (2007) (17)
- The unemployment insurance compensation experience of immigrants in Canada, 1980–1988 (1998) (16)
- Secrets to the successful Hungarian bank privatization: the benefits of foreign ownership through strategic partnerships (2004) (16)
- Varieties of Monetary Reforms (1994) (16)
- Asymmetric adjustment from structural booms and slumps (2002) (16)
- The Behavior of Short-Term Interest Rates: International Evidence of Non-Linear Adjustment (2006) (16)
- HYPERINFLATIONS: THEIR ORIGINS, DEVELOPMENT AND TERMINATION (1990) (16)
- Taking Monetary Aggregates Seriously (2010) (16)
- Analyzing Credit Risk Transmission to the Non-Financial Sector in Europe: A Network Approach (2018) (16)
- THE DEFICIT - INTEREST RATE LINK: EMPIRICAL EVIDENCE FOR CANADA (1988) (16)
- SOME QUALMS ABOUT THE TEST OF THE INSTITUTIONALIST HYPOTHESIS OF THE LONG-RUN BEHAVIOR OF VELOCITY: REPLY (1988) (16)
- Immigrant Class and the Use of Unemployment Insurance by Recent Immigrants in Canada: Evidence from a New Data Base, 1980 to 1995 1 (1999) (16)
- Explaining Movements in the NZ Dollar - Central Bank Communication and the Surprise Element in Monetary Policy? (2008) (15)
- Central Banks into the Breach: From Triumph to Crisis and the Road Ahead (2017) (15)
- As Good as it Gets? The International Dimension to Canada's Monetary Policy Strategy Choices (2008) (15)
- Fundamentals and devaluation expectations in target zones: Some new evidence from the ERM (1996) (14)
- The role of fiscal policy in the St. Louis model: An evaluation and some new evidence (1986) (14)
- Is Hungary ready for inflation targeting (2002) (14)
- Monetary Policy Transparency, Public Commentary, and Market Perceptions About Monetary Policy in Canada (2000) (14)
- Are short sellers positive feedback traders? Evidence from the global financial crisis ☆ (2013) (14)
- "FROM FLOATING TO MONETARY UNION: THE ECONOMIC DISTANCE BETWEEN EXCHANGE RATE REGIMES" (2004) (14)
- Inflation targets and the yield curve: New Zealand and Australia versus the US (2000) (14)
- Optimal Reaction Functions, Taylor's Rule and Inflation Targets: The Experiences of Dollar Bloc Countries (2001) (13)
- Volatility Clustering in Real Interest Rates: International Evidence (2002) (13)
- Constraints on Enterprise Liquidity and Its Impact on the Monetary Sector in Formerly Centrally Planned Economies (1994) (12)
- Optimal Monetary Policy Rules and Inflation Targets: Are Australia, Canada, and New Zealand Different from the Us? (2004) (12)
- Capital Flows in a Transitional Economy and the Sterilization Dilemma: The Hungarian Case (1996) (12)
- Stock Return Seasonalities and Investor Structure: Evidence from China's B-Share Markets (2009) (12)
- Did the Bundesbank React to Stock Price Movements? (2003) (12)
- Revisiting the Coyne Affair: A Singular Event that Changed the Course of Canadian Monetary History (2010) (12)
- Real-time data and monetary policy (2005) (12)
- The Potential Consequences of Alternative Exchange Rate Regimes: A Study of Three Candidate Regions (2002) (12)
- Deflation: Fears of Deflation and the Role of Monetary Policy: Some Lessons and an Overview (2004) (12)
- Asset Price Spillovers from Unconventional Monetary Policy: A Global Empirical Perspective (2017) (11)
- Political Effects on Central Bank Behaviour: Some International Evidence (1994) (11)
- Signed Spillover Effects Building on Historical Decompositions (2017) (11)
- War Finance, Reconstruction, Hyperinflation, and Stabilization in Hungary, 1938-48 (1991) (11)
- What's in a Second Opinion? Shadowing the ECB and the Bank of England (2012) (11)
- What Drives Household Inflation Expectations in South Africa? Demographics and Anchoring Under Inflation Targeting (2018) (11)
- Money Velocity with Costly Credit (1997) (11)
- Central Bank Communication, Decision Making, and Governance: Issues, Challenges, and Case Studies (2013) (11)
- Great inflations of the 20th century : theories, policies, and evidence (1995) (11)
- The Quality of Monetary Policy and Inflation Performance: Globalization and its Aftermath (2009) (11)
- Do Short Selling Restrictions Destabilize Stock Markets? Lessons from Taiwan (2011) (11)
- The Common Development of Institutional Change as Measured by Income Velocity: A Century of Evidence from Industrialized Countries (1993) (10)
- Propensity of Canada's Foreign‐born to Claim Unemployment Insurance Benefits (2001) (10)
- The Ill Wind that Blows from Europe: Implications for Canada's Economy (2014) (10)
- Central Bank Digital Currency: a Review and Some Macro-Financial Implications (2021) (10)
- Metal prices made in China? A network analysis of industrial metal futures (2020) (10)
- Monetary Policy Transmission in Systemically Important Economies and China’s Impact (2018) (10)
- Hungary's entry into the euro area: Lessons for prospective members from a monetary policy perspective (2006) (10)
- The Transformation and Performance of Emerging Market Economies Across the Great Divide of the Global Financial Crisis (2019) (10)
- Revisiting the Shocking Aspects of Asian Monetary Unification (2009) (10)
- The demand for money in New Zealand in an era of institutional change: Evidence from the 1981–1994 period (1995) (9)
- Fears of Deflation and Policy Responses then and Now (2002) (9)
- The Global Financial Crisis and the Language of Central Banking: Central Bank Guidance in Good Times and in Bad (2013) (9)
- The Effect of Canadian and U.S. M1 Announcements on Canadian Financial Markets: The Crow Years (1998) (9)
- Prolonged Reserves Accumulation, Credit Booms, Asset Prices and Monetary Policy in Asia (2013) (8)
- Measuring the Impact of Intervention on Exchange Market Pressure (2006) (8)
- Do Words Speak Louder than Actions? The Conduct of Monetary Policy at the Bundesbank (2000) (8)
- The Global Financial Crisis and Central Bank Speak (2014) (8)
- The Bank of Canada and Financial Stability: A New Mandate? (2019) (8)
- The euro area stock market channel: Does one size fit all? ☆ (2009) (8)
- How Monetary Policy Is Made: Two Canadian Tales (2013) (8)
- Challenges in Central Banking (2010) (8)
- Interpreting a Change in Monetary Policy Regimes: A Reappraisal of the First Hungarian Hyperinflation and Stabilization, 1921-1928 (1991) (7)
- The Bundesbank's Communications Strategy and Policy Conflicts with the Federal Government (2005) (7)
- The Stock Market and the Business Cycle in Periods of Deflation, (Hyper-) Inflation and Political Turmoil: Germany 1913 – 1926 (2004) (7)
- The unemployment insurance compensation. Usage of Canada's immigrants in selected provinces, 1981-1988. (1998) (7)
- Central Bank Reaction Functions in Inflation and Non-Inflation Targeting Countries: Are They Informative About the Conduct of Monetary Policy? (1998) (7)
- No Coupling, No Decoupling, Only Mutual Inter-Dependence: Business Cycles in Emerging vs. Mature Economies (2012) (7)
- Sources of disagreement in inflation forecasts : a cross-country empirical investigation (2010) (7)
- Communications Challenges for Multi-Tasking Central Banks: Evidence, Implications† (2014) (7)
- What Can We Learn From Comprehensive Data Revisions for Forecasting Inflation ? (2007) (7)
- Pitfalls and Opportunities for the Conduct of Monetary Policy in a World of High-Frequency Data (1996) (7)
- The macroeconomics of low inflation and the prospects for global deflation (2004) (7)
- The Cross-Border Credit Channel and Lending Standards Surveys (2018) (6)
- Establishing central bank independence: recent experiences in developing countries (1995) (6)
- Empirical Evidence on Positive Feedback Trading in Mature and Emerging Stock Markets (2003) (6)
- Output-inflation trade-offs: Some new evidence from postwar U.S. quarterly data☆ (1988) (6)
- What Has Publishing Inflation Forecasts Accomplished? Central Banks and Their Competitors (2017) (6)
- Unit root behavior in velocity: Cross-country tests using recursive estimation (1989) (6)
- The Credit Cycle and the Business Cycle in Canada and the U.S.: Two Solitudes? (2012) (6)
- The Money Growth - Inflation Relationship Under Hyperinflation: An Illustration from Hungary's Postwar Experience (1991) (6)
- Has Inflation Targeting Improved Monetary Policy? Evaluating Policy Effectiveness in Australia, Canada, and New Zealand (2009) (6)
- Communication for Multi-Taskers: Perspectives on Dealing with Both Monetary Policy and Financial Stability (2011) (6)
- Relative Price Shocks, Inflation Expectations, and the Role of Monetary Policy (2009) (6)
- Long-run and short-run money demand: which price deflator to use? Some evidence using New Zealand data (1995) (6)
- Building Credibility and Influencing Expectations- The Evolution of Central Bank Communication (2020) (6)
- Seasonal Adjustment and Volatility Dynamics (1997) (5)
- Crippled Monetary Policy in Transforming Economies: Why Central Bank Independence Does not Restore Control (1994) (5)
- The Role of Financial Journalists in the Expectations Channel of the Monetary Transmission Mechanism (2020) (5)
- Managed Floating as a Strategy to Achieve Selected Monetary Policy Objectives (2006) (5)
- Great Inflations of the 20th Century (1995) (5)
- Has Monetary Policy Changed? How the Crisis Shifted the Ground Under Central Banks (2018) (5)
- Privatizing a Banking System: A Case Study of Hungary (2001) (5)
- Income Velocity in Turbulent Times: The Role of Institutional Factors in the New Zealand Experience (1997) (5)
- Inflation and Monetary Policy: What South African Newspapers Report in an Era of Policy Transparency (2019) (5)
- Determinants of Emerging Market Spreads: Domestic, Global Factors, and Volatility (2008) (5)
- The Transmission of Financial Shocks on a Global Scale: Some New Empirical Evidence (2018) (5)
- Forecast Disagreement and the Inflation Outlook: New International Evidence (2016) (5)
- The Fed's Reaction to the Stock Market During the Great Depression: Fact or Artefact? (2007) (5)
- The Credit Cycle and the Business Cycle in Canada and the United States: Two Solitudes? (2015) (5)
- The link between money and prices under different policy regimes: The postwar Hungarian experience (1990) (5)
- Do Short Selling Restrictions Destabilize Stock Returns? Lessons from Taiwan (2010) (5)
- The Influence of Seasonal Adjustment on Unit Roots and Cointegration: The Case of the Consumption Function for Canada, 1947,1987 (1991) (4)
- Foreign Exchange Intervention in Two Small Open Economies: The Canadian and Australian Evidence (2001) (4)
- The Changing Face of Central Banking: Preface (2002) (4)
- Do Words Speak Louder than Actions? Monetary Policy at the Bundesbank (1999) (4)
- Measuring resilience to financial instability: A new dataset (2016) (4)
- The Economics of Deflation (2005) (4)
- When is Lift-Off? Evaluating Forward Guidance from the Shadow (2014) (4)
- The macroeconomic response to real and financial factors, commodity prices, and monetary policy: International evidence (2021) (4)
- Armageddon and the Stock Market: US, Canadian and Mexican Market Responses to the 1962 Cuban Missile Crisis (2020) (4)
- Macro-Financial Linkages: Theory and Applications (2011) (4)
- Not Quite as Advertised: Canada's Managed Float in the 1950s and Bank of Canada Intervention (2008) (4)
- Macroeconomic Implications of Financial Frictions in the Euro Zone (2015) (4)
- Together or Apart? Monetary Policy Divergences in the G4 (2018) (4)
- Government Bond Yields at the Effective Lower Bound: International Evidence (2017) (4)
- Speculative Activity and Returns Volatility of Chinese Major Agricultural Commodity Futures (2017) (3)
- Flashpoints for the Pittsburgh Summit (2009) (3)
- The role of fiscal policy in the St. Louis model: Nonparametric estimates for a small open economy (1988) (3)
- Fiscal and monetary institutions and policies: onward and upward? (2011) (3)
- Forecast Disagreement and the Anchoring of Inflation Expectations in the Asia-Pacific Region (2013) (3)
- Capital flows in a transitional economy and the sterilization dilemma: The hungarian experience, 1992–97 (2000) (3)
- Is Sterilized Intervention Effective? New International Evidence (2007) (3)
- The Anatomy of Inflation: An Economic History Perspective (2018) (3)
- Another Fine Mess: Repairing the Governance of International Financial Regulation (2013) (3)
- The Role of Asset Prices in Euro Area Monetary Policy: Specification and Estimation of Policy Rules and Implications for the European Central Bank (2005) (3)
- Exchange rates, central bank news and the zero lower bound* (2017) (3)
- Inflation, Disinflation, and Deflation in China: Identifying the Shocks Driving Inflation* (2006) (3)
- A Markov Switching Approach to Herding (2016) (3)
- International Effects of Euro Area Forward Guidance* (2021) (3)
- A Note on the Impact of the Inclusion of an Anchor Number in the Inflation Expectations Survey Question (2020) (3)
- Monetary Policy Setting in Australia, Canada and the Euro Area: Insights from the Shadows (2019) (3)
- Understanding the Great Depression in the United States versus Canada (2003) (3)
- The Changing Face of Central Banking: Contrasting Quantitative and Qualitative Assessments of Central Bank Behavior and the Evolution of Monetary Policies (2002) (2)
- INFLATION TARGETING: IT'S NOT BROKE, IT DOESN'T NEED FIXING, BUT CAN IT SURVIVE? (2010) (2)
- Trading Behavior During Stock Market Downturns: The Dow, 1915 - 2004 (2005) (2)
- The Transition from Hyperinflation to Price Stability: Further Evidence (1990) (2)
- Central Bank Mandates: How Differences Can Influence the Content and Tone of Central Bank Communication (2022) (2)
- Canada's Experiment with a Floating Exchange Rate During the 1950s And Its Fear of Appreciation* (2008) (2)
- Politics and U.S. Business Cycles: A Century of Evidence (1992) (2)
- Central Bank Balance Sheets and the Interaction between Monetary Policy and Financial Stability (2018) (2)
- International Effects of Euro Area Forward Guidance (2020) (2)
- U.S. Monetary Policy since the 1950s and the Changing Content of FOMC Minutes (2019) (2)
- Gold Resumption and the Deflation of the 1870's (2011) (2)
- A Suggestion for a Simple Cross-Country Empirical Proxy for Trend Unemployment (1998) (2)
- Seasonality in Time Series: Money-Income Causality in U.S. Data Revisited (1991) (2)
- Did the great influenza of 1918–1920 trigger a reversal of the first era of globalization?* (2021) (2)
- The Evolving Scope and Content of Central Bank Speeches (2018) (2)
- Inflation Forecasts in Asia and the Pacific: Performance, Disagreement and Spillovers (2014) (2)
- Constraints on Enterprise Liquidity and its Impact on the Monetary Sector in Hungary (1993) (2)
- Tales of Parallel Currencies: The Early Soviet Experience (1995) (2)
- Can There Be a Currency Union Without Political Union? The Early Soviet Experience (1993) (1)
- Monetary Policy, Financial Stability and the Macroprudential Illusion? (2018) (1)
- Priming in inflation expectations surveys (2021) (1)
- Introductory Remarks for the Contemporary Economic Policy Special Section on “Monetary Policy Issues of New EU‐Member and Candidate Countries” (2006) (1)
- Good Governance of Monetary Policy in Canada: Lessons from the C.D. Howe Institute's Shadow Council (2014) (1)
- Exchange Rate Shocks in Multicurrency Interbank Markets (2021) (1)
- The Term Spread International Evidence of Non-Linear Adjustment (2004) (1)
- The Tchervonetz Experiment in Discriminatory Monetary Policy (1993) (1)
- Transparency is Not Enough: Central Bank Governance as the Next Frontier (2011) (1)
- A Survey of the International Evidence and Lessons Learned About Unconventional Monetary Policies: Is a ‘New Normal’ In Our Future? (2019) (1)
- Priorities for the G20: The St. Petersburg Summit and Beyond (2013) (1)
- The Global Interplay between Trade, Geopolitical and Commodity Shocks (2019) (1)
- The Changing Face of Central Banking: The Changing Face of Central Banking: Epilogue (2002) (1)
- Information transmission under increasing political tensions—Evidence from the Berlin Produce Exchange 1887–1896 (2020) (1)
- Looking into the rear-view mirror: Lessons from Japan for the Eurozone and the U.S? (2021) (1)
- The Monetary Policy Strategy after EU Enlargement (2005) (1)
- CENTRAL BANK COMMUNICATION AFTER THE CRISIS HAS ANYTHING CHANGED (2015) (1)
- What do central banks talk about? A European perspective on central bank communication (2021) (1)
- The Coupling and Decoupling of Business Cycles in Historical Perspective: Scandinavian Evidence from the Early 19th Century (2009) (1)
- Financial Frictions and Credit Spreads (2010) (1)
- The Changing Face of Central Banking: Accountability, Disclosure, and Conflict Resolution (2002) (1)
- Unpacking Macroprudential Policies: Strengths and Weaknesses (2018) (1)
- Institutional Rules and the Conduct of Monetary Policy: Does a Central Bank Need Governing Principles? (2008) (1)
- The Great Inflation: The Rebirth of Modern Central Banking. Edited by Bordo Michael D. and Orphanides Athanasios. Chicago: University of Chicago Press and NBER.. Pp. 532. $120.00, hardcover (2014) (1)
- Asset pricing puzzles in finance: Introduction (2006) (1)
- Linking a Currency Union with Political Union:A Cautionary Tale from Early Soviet History (1999) (1)
- VELOCITY AND INSTITUTIONAL CHANGE: EVIDENCE FROM CANADA, THE U.K. AND U.S., 1870-1986 (1989) (1)
- Attempts to Control Inflation (1991) (0)
- When Good Intentions are Not Enough: Lessons of Past Cooperation Attempts for the G20 Stability Framework (2010) (0)
- Financial reform in Canada: past, present and future (2003) (0)
- Central banking and monetary policy: Which will be the post-crisis new normal? (2016) (0)
- Have Macroeconomic Rules of the Game Changed? Some Clues from the Phillips Curve (2016) (0)
- Manuel H. Johnson and Robert E. Keleher, Monetary Policy, a Market Price Approach (1998) (0)
- The Changing Face of Central Banking: Bibliography (2002) (0)
- The End of the Hyperinflation and Its Consequences (1991) (0)
- Austerity and Recovery: Exchange Rate Regime Choice, Economic Growth and Financial Crises (2015) (0)
- The G20 Agenda and Process: Analysis and Insight by CIGI Experts (2011) (0)
- Central Banking's Long March Over the Decades (2019) (0)
- Cyclical Fluctuations in US Monetary Policy and Output: A Test of Their Relationship (1987) (0)
- 'Evil' Speculators? Evidence from Grain Futures Trading in Chicago During the Interwar Period (2022) (0)
- Books Received (1998) (0)
- Real Interest Rate Parity: A New Test with International Data (1995) (0)
- Irrespective of everything. The effect of monetary policy on the economic cycle in Hungary (2007) (0)
- Price Discovery in Chinese Index Futures Markets (2016) (0)
- Macroeconomic Implications of Financial Frictions in the Euro Zone (2015) (0)
- Challenges in Central Banking: The State of Play in Central Banking and the Challenges to Come (2010) (0)
- Fears of Deflation Then and Now (2001) (0)
- State Finances and Peacetime Economic Prospects (1991) (0)
- Inflation expectations surveys: a review of some survey design choices and their implications (2021) (0)
- News, Selectivity Bias, and Financial Asset Prices: A Study of Five Countries (2000) (0)
- China's Monetary Challenges: People's Bank of China Policymaking and External Pressures (2008) (0)
- Hungary and the German War Economy (1991) (0)
- The Changing Face of Central Banking: Central Bank Personalities and Monetary Policy Performance (2002) (0)
- CAMA Centre for Applied Macroeconomic Analysis What Has Publishing Inflation Forecasts Accomplished ? Central Banks and Their Competitors CAMA Working Paper 7 / 2018 January 2018 (2018) (0)
- The Changing Face of Central Banking: Inflation Targets versus Other Inflation Control Measures: Two Sides of the Same Coin? (2002) (0)
- Real Exchange Rate Targeting in Economies in Transition and the Sterilization Problem: The Hungarian Experience (2019) (0)
- The Győri Programme and its Macroeconomic Consequences (1991) (0)
- Basic Data (1975) (0)
- Mindentől függetlenül. A monetáris politika hatása a gazdasági ciklusra Magyarországon [Irrespective of everything. The effect of monetary policy on the economic cycle] (2007) (0)
- A Failure to Cooperate? Raising the Risks and Challenges of Exiting Unconventional Monetary Policies (2014) (0)
- Choosing an Exchange Rate Regime: The Role of Economic Distance and Aggregate Shocks (2003) (0)
- Guilio M. Gallarotti, The Anatomy of an International Monetary Regime: The Classical Gold Standard (Oxford: Oxford University Press, 1995. £37·50)--- Either ISSN or Journal title must be supplied (1996) (0)
- Keeping Up with the Challenges from Global Monetary Policy Spillovers (2014) (0)
- Improving Canada’s Financial Stability Governance Regime (2016) (0)
- The Changing Face of Central Banking: Legislation Alone Does Not a Central Bank Make: Political Structure, Governance, and Reputation in Monetary Policy (2002) (0)
- The Potential Consequences of Alternative Exchange Rate Regimes: A Study of Three Candidate Regions*Monetary Union: European Lessons, Latin American Prospects (2002) (0)
- Short-selling Bans and the Global Financial Crisis: Are They Interconnected? (2018) (0)
- Inflation and Industry in Hungary, 1918-1929. Elizabeth A. Boross , Gerald D. Feldman , Carl-Ludwig Holtfrerich , Gerhard A. Ritter , Peter-Christian Witt (1996) (0)
- REFORMING FINANCE: MACRO AND MICRO PERSPECTIVES (2014) (0)
- Abstract Has Inflation Targeting Improved Monetary Policy ? Evaluating Policy Effectiveness in Australia , Canada , and New Zealand (2009) (0)
- Book ReviewCarlo Cottarelli and Gyorgy Szapary (Eds.), Moderate Inflation: The Experience of Transitional Economies. Washington, D.C.: International Monetary Fund, 1998. ix + 283 pp., no index, $25.00 (1999) (0)
- What ’ s in a Second Opinion ? (2013) (0)
- Is there wisdom in a second opinion? Shadowing the ECB and the Bank of England (2011) (0)
- The End of Monetary Dominance? How Crises Can Influence Monetary Policy Decisions and Institutions (2008) (0)
- US Monetary Policy Since the 1950s and the Changing Content of FOMC Minutes (2019) (0)
- This Time Is Not Different: Blaming Short Sellers (2012) (0)
- The Institutional Make-Up and Evolution of Central Bank–Government Relations: An Introduction (2002) (0)
- “Who pays the piper calls the tune” – Networks and transaction costs in commodity markets (2019) (0)
- Sense and Nonsense About Deflation (2009) (0)
- The Global Financial Crisis and Central Bank Speak: Central Bank Guidance in Good Times and in Bad (2013) (0)
- Allan H. Meltzer, A History of the Federal Reserve, Volume 1: 1913–1951 (Chicago: University of Chicago Press, 2002. xiii + 600 pp. $75) (2005) (0)
- Cacophony in Central Banking? Evidence from Euro Area Speeches on Monetary Policy (2023) (0)
- Fiscal and Monetary Policies in the Transition: Searching for the Credit Crunch (2019) (0)
- Basic Data (1977) (0)
- Five Years After the Fall: The Governance Legacies of the Global Financial Crisis (2013) (0)
- Dectecting speculative bubbles in stock prices: A new approach and some evidence for the US (2001) (0)
- The Changing Face of Central Banking: Econometric Analysis of Central Bank Behavior: An Evolutionary Approach (2002) (0)
- How Firms and Experts View The Phillips Curve: Evidence from Individual and Aggregate Data from South Africa (2022) (0)
- Can We Put Money Back into Monetary Policy ? A Canadian Perspective (1998) (0)
- When is Lift-Off? Evaluating Forward Guidance from the Shadow (2014) (0)
- Canadian economic forecasting in a world where all's unsure : Mervin Daub, (Kingston, Ont., Canada: McGill-Queen's University Press, 1987), $32.50, pp. 236 (1989) (0)
- Oceans Apart? China and Other Systemically Important Economies (2020) (0)
- Additional Thoughts on the Hungarian Hyperinflation of 1945-46 (1987) (0)
- Networks and trade costs in commodity markets during the late nineteenth century: a new dataset and evidence (2020) (0)
- “Paolo Baffi” Centre on Central Banking and Financial Regulation (2008) (0)
- Inflation Dynamics: Expectations, Structural Breaks and Global Factors (2020) (0)
- Crippled Monetary Policy in Transforming Economies: Why Central Bank Does not Restore Control (1993) (0)
- Emotion in Euro Area Monetary Policy Communication and Bond Yields: The Draghi Era (2023) (0)
- The Lessons to be Learned from the Hyperinflation and Its Termination (1991) (0)
- Trevor J. O. Dick and John E. Floyd, Canada and the Gold Standard: Balance-of-Payments Adjustment under Fixed Exchange Rates, 1871–1913 (Cambridge: Cambridge University Press, 1992. 236 pp. $54.95/£40.00)--- Either ISSN or Journal title must be supplied (1994) (0)
- Monetary Policy in Low-Inflation Economies: Commentary (2009) (0)
- Monetary and Fiscal Policy during the Hyperinflation (1991) (0)
- We use a ratio of these two EMP measures to assess the effectiveness of sterilized intervention in Canada and Australia (2006) (0)
- Comments on S. Arndt: “Regional currency arrangements in North America” (2006) (0)
- When Central Banks Surprise: Why It Is Important and What Policy Makers Need to Do about It (2015) (0)
- Data Revisions, Gradualism, and US Inflation Pressure in Real Time (2008) (0)
- From Bretton Woods to the Euro: How Policy-Maker Overreach Fosters Economic Crises (2012) (0)
- SESSION 4B: THE GREAT DEPRESSION—MACRO (2001) (0)
- Are Short Sellers Positive Feedback Traders? Evidence from the Global Financial Crisis (2012) (0)
- Central Bank Credibility before and after the Crisis (2016) (0)
- The End of the War and the Financial Toll of Reconstruction (1991) (0)
- Together or Apart? Monetary Policy Divergences in the G4 (2019) (0)
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