Pierre‐richard Agénor
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Why Is Pierre‐richard Agénor Influential?
(Suggest an Edit or Addition)Pierre‐richard Agénor'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
- Macroeconomic Fluctuations in Developing Countries: Some Stylized Facts (1999) (411)
- Benefits and Costs of International Financial Integration: Theory and Facts (2001) (343)
- The Economics of Adjustment and Growth (2000) (297)
- Public Infrastructure and Growth: New Channels and Policy Implications (2006) (291)
- Does globalization hurt the poor? (2002) (245)
- A Theory of Infrastructure-led Development (2010) (232)
- The Credit Crunch in East Asia: What Can Bank Excess Liquid Assets Tell Us? (1999) (200)
- Speculative Attacks and Models of Balance-of-Payments Crises (1991) (186)
- Middle-Income Growth Traps (2012) (178)
- Macroeconomic Fluctuations in Developing Countries; Some Stylized Facts (1999) (153)
- The Labor Market and Economic Adjustment (1995) (151)
- Macroeconomic Adjustment and the Poor: Analytical Issues and Cross-Country Evidence (2002) (150)
- Roads Out of Poverty? Assessing the Links between Aid, Public Investment, Growth, and Poverty Reduction (2005) (149)
- Output, devaluation and the real exchange rate in developing countries (1991) (146)
- The Asian financial crisis : causes, contagion and consequences (1999) (145)
- Avoiding middle-income growth traps (2012) (140)
- Health and infrastructure in a model of endogenous growth (2008) (127)
- Contagion and Volatility with Imperfect Credit Markets (1997) (124)
- Foreign Currency Deposits and the Demand for Money in Developing Countries (1992) (116)
- Monetary Policy Under Flexible Exchange Rates: An Introduction to Inflation Targeting (1999) (116)
- Fiscal policy and endogenous growth with public infrastructure (2007) (113)
- Macroeconomic Adjustment with Segmented Labor Markets (1994) (113)
- Caught in the Middle? The Economics of Middle‐Income Traps (2017) (112)
- Parallel Currency Markets in Developing Countries: Theory, Evidence, and Policy Implications (1990) (110)
- Development macroeconomics. 2nd. ed. (1999) (109)
- Capital Regulation, Monetary Policy and Financial Stability (2013) (101)
- Gender Equality and Economic Growth in Brazil: A Long-Run Analysis (2013) (85)
- Fiscal Imbalances, Capital Inflows, and the Real Exchange Rate: The Case of Turkey (1997) (84)
- Excess liquidity, bank pricing rules, and monetary policy (2010) (82)
- IMMPA : A Quantitative Macroeconomic Framework for the Analysis of Poverty Reduction Strategies (2002) (79)
- Testing for Credibility Effects (1991) (75)
- Informal Financial Markets in Developing Countries: A Macroeconomic Analysis (1993) (74)
- Innovation, Public Capital, and Growth (2015) (74)
- Macroeconomic Fluctuations in Developing Countries (1999) (73)
- Aid Volatility and Poverty Traps (2007) (69)
- Public Infrastructure and Private Investment in the Middle East and North Africa (2005) (69)
- The Allocation of Public Expenditure and Economic Growth (2011) (68)
- Sudden floods, macroprudential regulation and stability in an open economy (2014) (66)
- Schooling and Public Capital in a Model of Endogenous Growth (2011) (65)
- On Gender and Growth: The Role of Intergenerational Health Externalities and Women's Occupational Constraints (2010) (65)
- The Surge in Capital Flows: Analysis of 'Pull' and 'Push' Factors (1998) (63)
- Labor Market Reforms, Growth, and Unemployment in Labor-Exporting Countries in the Middle East and North Africa (2004) (60)
- The Macroeconomics of Poverty Reduction (2005) (58)
- Speculative Attacks and Models of Balance of Payments Crises (1991) (57)
- The Integrated Macroeconomic Model for Poverty Analysis: A Quantitative Macroeconomic Framework for the Analysis of Poverty Reduction Strategies (2003) (57)
- Macroprudential regulation and the monetary transmission mechanism (2014) (56)
- Infrastructure Investment and Maintenance Expenditure: Optimal Allocation Rules in a Growing Economy (2009) (54)
- Capital Requirements and Business Cycles with Credit Market Imperfections (2009) (54)
- Labor Market Policies and Unemployment in Morocco: A Quantitative Analysis (2003) (54)
- Capital inflows, external shocks, and the real exchange rate (1998) (53)
- Public Capital, Growth and Welfare: Analytical Foundations for Public Policy (2012) (53)
- Credibility and Exchange Rate Management in Developing Countries (1991) (53)
- Loan Loss Provisioning Rules, Procyclicality, and Financial Volatility (2015) (53)
- Credibility, Reputation, and the Mexican Peso Crisis (1999) (52)
- Inflation Targeting and Financial Stability: A Perspective from the Developing World (2013) (50)
- Achieving the Millennium Development Goals in Sub-Saharan Africa: A Macroeconomic Monitoring Framework (2005) (48)
- Capital-Market Imperfections and the Macroeconomic Dynamics of Small Indebted Economies (1997) (48)
- Cyclically Adjusted Provisions and Financial Stability (2016) (48)
- Volatility and the Welfare Costs of Financial Market Integration (1998) (47)
- Contracting Models of the Phillips Curve: Empirical Estimates for Middle-Income Countries (2003) (46)
- Analysing Credibility in High-Inflation Countries: A New Approach (1993) (46)
- Money, Wages and Inflation in Middle-Income Developing Countries (1997) (45)
- Access to Finance, Product Innovation and Middle-Income Traps (2014) (44)
- Trade Liberalization and Unemployment (1995) (43)
- Macroeconomic Stability, Financial Stability, and Monetary Policy Rules (2012) (43)
- Linking Representative Household Models with Household Surveys for Poverty Analysis: A Comparison of Alternative Methodologies (2004) (43)
- The causality between official and parallel exchange rates in developing countries (1993) (42)
- Cyclical Effects of Bank Capital Requirements with Imperfect Credit Markets (2009) (41)
- Consumption Smoothing and the Current Account: Evidence for France, 1970-94 (1995) (40)
- Contagion, Bank Lending Spreads, and Output Fluctuations (1998) (39)
- Business Cycles, Economic Crises, and the Poor: Testing for Asymmetric Effects (2001) (39)
- Stabilization Policies in Developing Countries with a Parallel Market for Foreign Exchange: A Formal Framework (1990) (39)
- Capital Inflows and the Real Exchange Rate (1996) (37)
- Social Capital, Product Imitation and Growth with Learning Externalities (2013) (35)
- A new classical econometric model of the world economy (1986) (35)
- Adjustment policies, poverty, and unemployment : the IMMPA framework (2007) (35)
- Analyzing the Impact of Adjustment Policies on the Poor: An IMMPA Framework for Brazil (2003) (35)
- Optimal fiscal management of commodity price shocks (2016) (33)
- Monetary Policy Analysis in a Small Open Credit-Based Economy (2008) (33)
- Disinflation, Fiscal Sustainability, and Labor Market Adjustment in Turkey (2005) (33)
- Infrastructure, women’s time allocation, and economic development (2014) (32)
- Competitiveness and external trade performance of the French manufacturing industry (1995) (32)
- Infrastructure, Public Education and Growth with Congestion Costs (2012) (30)
- Technological Change, Relative Wages, and Unemployment (1994) (28)
- Capital Inflows and the Real Exchange Rate: Analytical Framework and Econometric Evidence (1996) (28)
- Unemployment-Poverty Trade-Offs (2004) (28)
- External Shocks, Financial Volatility and Reserve Requirements in an Open Economy (2018) (27)
- Financial spillovers, spillbacks, and the scope for international macroprudential policy coordination (2018) (25)
- Access to Infrastructure and Women’s Time Allocation: Evidence and a Framework for Policy Analysis (2012) (25)
- Monetary shocks and central bank liquidity with credit market imperfections (2012) (25)
- Fiscal adjustment and labor market dynamics in an open economy (2005) (25)
- Business Cycles, Economic Crises, and the Poor (2002) (25)
- Public capital, health persistence and poverty traps (2015) (24)
- Integrated inflation targeting - Another perspective from the developing world (2019) (24)
- Reforming international standards for bank capital requirements: A perspective from the developing world (2010) (24)
- The Mexican Peso Crisis: Overview and Analysis of Credibility Factors (1996) (24)
- The Analytics of Segmented Labor Markets (2005) (23)
- Unemployment, growth and welfare effects of labor market reforms (2018) (23)
- Aid Allocation, Growth And Welfare With Productive Public Goods (2013) (23)
- Unification of Foreign Exchange Markets (1992) (23)
- CREDIT FRICTIONS, COLLATERAL, AND THE CYCLICAL BEHAVIOR OF THE FINANCE PREMIUM (2012) (23)
- External Shocks, Bank Lending Spreads, and Output Fluctuations (2007) (22)
- A Monetary Model of the Parallel Market for Foreign Exchange (1991) (22)
- The International Dimensions of Macroprudential Policies (2017) (22)
- The tyranny of rules: fiscal discipline, productive spending, and growth in a perfect foresight model (2011) (22)
- Development Macroeconomics Ed. 3 (2008) (22)
- Development Macroeconomics: Fourth Edition (2015) (21)
- Credit Market Imperfections and the Monetary Transmission Mechanism Part I: Fixed Exchange Rates (2006) (20)
- Financial Sector Inefficiencies and Coordination Failures: Implications for Crisis Management (1999) (19)
- Public Policy and Industrial Transformation in the Process of Development (2013) (18)
- Cyclical Fluctuations in Brazil's Real Exchange Rate: The Role of Domestic and External Factors (1997) (17)
- A COMPUTABLE OVERLAPPING GENERATIONS MODEL FOR GENDER AND GROWTH POLICY ANALYSIS (2015) (17)
- A Computable OLG Model for Gender and Growth Policy Analysis (2012) (16)
- Mini-IMMPA: A Framework for Analyzing the Unemployment and Poverty Effects of Fiscal and Labor Market Reforms (2003) (16)
- Consumption Smoothing and the Current Account; Evidence for France, 1970-1994 (1995) (16)
- Employment effects of stabilization policies (2001) (15)
- International Financial Integration: Benefits, Costs, and Policy Challenges (2011) (15)
- Orderly Exits from Adjustable Pegs and Exchange Rate Bands (2004) (14)
- Market Sentiment and Macroeconomic Fluctuations Under Pegged Exchange Rates (2006) (14)
- Financial Sector Inefficiencies and the Debt Laffer Curve (2002) (14)
- Gender Equality and Economic Growth in Brazil (2013) (14)
- Labor Market Reforms, Growth, and Unemployment in Labor-Exporting MENA Countries (2003) (14)
- Efficiency wages, disinflation and labor mobility (1998) (14)
- Cyclical fluctuations in Brazil's real exchange rate: the role of domestic and external factors (1988-95) (2002) (14)
- GROWTH AND WELFARE EFFECTS OF MACROPRUDENTIAL REGULATION (2019) (14)
- The Behavior of Real Interest Rates in Exchange-Rate-Based Stabilization Programs (1994) (13)
- Consumption Smoothing and the Current Account (1995) (13)
- Capital Market Imperfections and the Theory of Optimum Currency Areas (2008) (13)
- The Effects of Prudential Regulation, Financial Development and Financial Openness on Economic Growth (2018) (12)
- From imitation to innovation : public policy for industrial transformation (2013) (12)
- The Asian Financial Crisis: List of conference participants (1999) (12)
- Fiscal Imbalances, Capital Inflows, and the Real Exchange Rate; The Case of Turkey (1997) (11)
- Access to Finance, Product Innovation, and Middle-Income Growth Traps (2014) (11)
- Gender Equality and Economic Growth in India: A Quantitative Framework (2015) (11)
- THE SIMPLE DYNAMICS OF PUBLIC DEBT WITH PRODUCTIVE PUBLIC GOODS (2016) (10)
- Credible disinflation programs (1993) (10)
- Infrastructure and Industrial Development with Endogenous Skill Acquisition (2018) (10)
- Reserve Requirements and Loan Loss Provisions as Countercyclical Macroprudential Instruments: A Perspective from Latin America (2016) (10)
- Macroeconomic Management with Informal Financial Markets (1996) (10)
- Child Labor, Intra-Household Bargaining and Economic Growth (2013) (9)
- Capital controls and welfare with cross-border bank capital flows (2020) (9)
- Macroeconomic effects of anticipated devaluations with informal financial markets (1993) (9)
- Global Banking, Financial Spillovers, and Macroprudential Policy Coordination (2019) (8)
- MOROCCO: Growth strategy for 2025 in an evolving international environment (2015) (8)
- Exchange Restrictions and Devaluation Crises (1990) (8)
- Wage Dispersion and Technical Progress (1996) (8)
- Institutional mandates for macroeconomic and financial stability (2022) (7)
- Price Controls and Electoral Cycles (1993) (7)
- Capital requirements, risk-taking and welfare in a growing economy (2017) (6)
- A Theory of Social Norms, Women's Time Allocation, and Gender Inequality in the Process of Development (2018) (6)
- The Mini-Integrated Macroeconomic Model for Poverty Analysis: A Framework for Analyzing the Unemployment and Poverty Effects of Fiscal and Labor Market Reforms (2003) (6)
- Wage Contracts, Capital Mobility, and Macroeconomic Policy (1995) (5)
- Investment and deposit contracts under costly intermediation and aggregate volatility (2006) (5)
- Financial sector inefficiencies and the debt Laffer curve: THE DEBT LAFFER CURVE (2005) (5)
- Gender Gaps in the Labor Market and Economic Growth (2018) (5)
- Foreign Exchange Intervention and Financial Stability (2020) (5)
- Macro Models and Household Survey Data: Linkages for Poverty and Distributional Analysis (2005) (4)
- Monetary Policy and Macroprudential Regulation with Financial Frictions (2020) (4)
- Government Deficits, Output and Inflation In A Monetary Model Of The Balance Of Payments: The Case Of Haiti, 1970–83 (1990) (4)
- Borrowing Risk and the Tequila Effect (1997) (4)
- Corruption Clubs: The Allocation of Public Expenditure and Economic Growth (2006) (4)
- Illegal trade, devaluation and exchange rate dynamics (1995) (4)
- Aid Volatility, Human Capital, and Growth (2020) (4)
- Macroprudential policy coordination in a currency union (2017) (4)
- Credibility effects of price controls in disinflation programs (1992) (4)
- Gender Gaps in the Labour Market and Economic Growth (2021) (3)
- Inflation and Monetary Reform (1992) (3)
- External Shocks and the Urban Poor (2011) (3)
- Assessing the Gains from International Macroprudential Policy Cooperation (2021) (3)
- Measuring the Effect of Gender-Based Policies on Economic Growth (2012) (3)
- Monetary shocks and exchange rate dynamics with informal currency markets (1995) (3)
- Price Reform and Durable Goods in the Transition to a Market Economy (1993) (3)
- Disinflation and the Supply Side (1999) (2)
- Non-Debt Financing of Development in MENA (2000) (2)
- Lessons for Public Policy (2012) (2)
- Linking Public Investment Programs and SPAHD Macro Models: Methodology and Application to Aid Requirements (2006) (2)
- Poverty, Income Distribution and Labour Market Issues in Sub-saharan Africa Stabilization Policies, Poverty and the Labour Market: Analytical Issues and Empirical Evidence (2001) (1)
- Monetary and Macroprudential Policy Coordination with Biased Preferences (2022) (1)
- Core course : macroeconomic management new methods and current policy issues (1998) (1)
- Optimal taxation and growth with public goods and costly enforcement (2014) (1)
- A General Equilibrium Model with Informal Financial Markets (1991) (1)
- Working Paper 6210 Middle-Income Growth Traps (2012) (1)
- Cross-Border Regulatory Spillovers and Macroprudential Policy Coordination (2020) (1)
- Financial spillovers, spillbacks, and the scope for international macroprudential policy coordination (2021) (1)
- Health and Knowledge Externalities: Implications for Growth and Public Policy (2019) (1)
- Anticipated Exchange Rate Reforms (1992) (1)
- Comments and Discussion (2001) (1)
- The Mexican Peso Crisis (1996) (1)
- Efficiency Wages and Labor Mobility in an Open Economy (1993) (0)
- An Overlapping Generations Perspective on Middle-Income Traps (2012) (0)
- The simple dynamics of debt with productive public goods (2017) (0)
- Excess Liquid Assets and the Credit Crunch in East Asia Theory and Evidence for Thailand (2000) (0)
- 5. Public Capital and Women’s Time Allocation (2012) (0)
- 4. Public Capital and Innovation (2012) (0)
- Infrastructure, women’s time allocation, and economic development (2013) (0)
- Chapter 14. Exchange-Rate Crises and Sudden Stops (2015) (0)
- Pilot distance learning course : analytical and policy issues in macroeconomic management (1999) (0)
- 3. Public Capital and Health (2012) (0)
- Costly Intermediation , Volatility , and Deposit Contracts (2000) (0)
- Unification of Foreign Exchange Markets: A Rejoinder to Lai and Chang (1994) (0)
- WORKING PAPER 2922 Does Globalization Hurt the Poor ? (0)
- Financial Crises in Emerging Markets: Discussion (2001) (0)
- Chapter 12. Dynamic Stochastic Equilibrium Models with Financial Frictions (2015) (0)
- Chapter 4. Macroeconomic Effects of Fiscal Policy (2015) (0)
- 6. Public Capital and Poverty Traps (2012) (0)
- 2. Public Capital and Education (2012) (0)
- Economic Structure and Aggregate Accounts (2015) (0)
- 7. Research Perspectives (2012) (0)
- The Asian Financial Crisis: Preface (1999) (0)
- EDP-0607 External Shocks and the Urban Poor (2005) (0)
- EDP-0607 External Shocks and the Urban Poor (2005) (0)
- Capital Requirements and Growth in an Open Economy (2023) (0)
- Chapter 15. Banking Crises and Twin Crises (2015) (0)
- Chapter 3. The Government Budget and Fiscal Management (2015) (0)
- Chapter 17. Macroeconomic Policies and Growth (2015) (0)
- Chapter 16. Sovereign Debt Crises (2015) (0)
- Chapter 1. Economic Structure and Aggregate Accounts (2015) (0)
- Business Cycles, Economic (2001) (0)
- Chapter 8. Choosing an Exchange-Rate Regime I: Credibility, Flexibility, and Welfare (2015) (0)
- Chapter 10. Inflation and Short-Run Dynamics (2015) (0)
- Chapter 7. Inflation Targeting, Macroeconomic Stability, and Financial Stability (2015) (0)
- Macro-Financial Policies under a Managed Float: A Simple Integrated Framework (2023) (0)
- Chapter 19. The Political Economy of Adjustment (2015) (0)
- Chapter 18. Trade Liberalization, Financial-Sector Reforms, and Sequencing (2015) (0)
- Discussion Paper Series The Analytics of Segmented Labor Markets (2005) (0)
- Chapter 6. A Framework for Monetary Policy Analysis (2015) (0)
- Chapter 11. Analytical Issues in Disinflation Programs (2015) (0)
- Sudden Floods, Prudential Regulation and Stability in an Open Economy (2012) (0)
- The World Bank Economic Review 14 (2), May 2000 (2000) (0)
- Aggregate Output and Price Adjustment with Credit Rationing and Informal Loan Markets (1989) (0)
- Public capital, health persistence and poverty traps (2014) (0)
- The Asian Financial Crisis: Introduction (1999) (0)
- Preface to the Fourth Edition (2018) (0)
- Chapter 13. Financial Integration and Capital Flows (2015) (0)
- Chapter 9. Choosing an Exchange-Rate Regime II: The Role of Shocks, Contractionary Effects, and Moral Hazard (2015) (0)
- Contagion , Bankl Lending Spreads , and Output Fluctuationis (2000) (0)
- Chapter 2. Behavioral Functions (2015) (0)
- 1. Basic Channels (2012) (0)
- France : selected background issues (1995) (0)
- Chapter 5. Financial Markets and the Monetary Transmission Mechanism (2015) (0)
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