Richard J. Herring
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American economist
Richard J. Herring's AcademicInfluence.com Rankings
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Economics
Richard J. Herring's Degrees
- Bachelors Economics University of Pennsylvania
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Why Is Richard J. Herring Influential?
(Suggest an Edit or Addition)According to Wikipedia, Richard J. Herring is an American economist, currently the Jacob Safra Professor of International Banking at Wharton School of the University of Pennsylvania. Bibliography
Richard J. Herring'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
- The role of capital in financial institutions (1995) (984)
- Real Estate Booms and Banking Busts: An International Perspective (1999) (290)
- The Case of the Missing Market: The Bond Market and Why It Matters for Financial Development (2000) (198)
- Credit Rationing And Financial Disorder (1984) (177)
- Disaster myopia in international banking (1983) (173)
- How to Design a Contingent Convertible Debt Requirement that Helps Solve Our Too‐Big‐To‐Fail Problem (2013) (148)
- Financial regulation in the global economy (1994) (139)
- Why and How to Design a Contingent Convertible Debt Requirement (2011) (133)
- A Safer World Financial System: Improving the Resolution of Systemic Institutions (2010) (129)
- The corporate structure of financial conglomerates (1990) (119)
- The Known, the Unknown, and the Unknowable in Financial Risk Management: Measurement and Theory Advancing Practice (2010) (115)
- Brookings-Wharton papers on financial services (1998) (104)
- Credit risk and financial instability (1999) (94)
- The Structure of Cross-Sector Financial Supervision (2008) (90)
- Growth Opportunities and Risk‐Taking by Financial Intermediaries (1987) (87)
- The Corporate Structure of International Financial Conglomerates (2012) (78)
- Managing Foreign Exchange Risk (1986) (68)
- International Financial Conglomerates: Implications for Bank Insolvency Regimes (2002) (60)
- Bubbles in Real Estate Markets (2002) (60)
- Bubbles in Real Estate Markets 1 (2002) (58)
- Banking Regulation versus Securities Market Regulation (2001) (58)
- The Lender-Of-Last-Resort Function In An International Context (1983) (58)
- Managing International Risk (1986) (58)
- "The Economic Rationale for Financial Regulation” Reconsidered (2016) (56)
- What Is Optimal Financial Regulation (2000) (54)
- National monetary policies and international financial markets (1978) (53)
- Conflicts between Home & Host Country Prudential Supervisors (2007) (49)
- The subordinated debt alternative to Basel II (2004) (48)
- The Rocky Road to Implementation of Basel II in the United States (2007) (48)
- The Corporate Complexity of Global Systemically Important Banks (2016) (47)
- other authors (1989) (46)
- The Role of the Financial Sector in Economic Performance (1995) (45)
- SHADOW FINANCIAL REGULATORY COMMITTEE (2006) (43)
- Sterilization policy: The trade-off between monetary autonomy and control over foreign exchange reserves (1977) (41)
- The Basel 2 Approach to Bank Operational Risk: Regulation on the Wrong Track (2002) (40)
- Capital Regulation for Position Risk in Banks, Securities Firms and Insurance Companies (2003) (37)
- Implementing Basel Ii: Is the Game Worth the Candle? (2005) (34)
- Mild vs. Wild Randomness: Focusing on those Risks that Matter (2007) (29)
- Political risk: analysis, process, and purpose (1983) (27)
- ACCOUNTING FOR LOSSES ON SOVEREIGN DEBT: IMPLICATIONS FOR NEW LENDING (1989) (27)
- BCCI & Barings: Bank Resolutions Complicated by Fraud and Global Corporate Structure (2005) (27)
- The Evolving Complexity of Capital Regulation (2018) (25)
- Disclosure policy and international banking (1986) (25)
- Managing international risk : essays commissioned in honor of the centenary of the Wharton School, University of Pennsylvania (1983) (25)
- Living wills and cross-border resolution of systemically important banks (2013) (24)
- Corporate Structures, Transparency and Resolvability of Global Systemically Important Banks (2015) (23)
- Common Liquidity Shocks and Market Collapse: Lessons from the Market for Perps (2008) (22)
- Wind-Down Plans As an Alternative to Bailouts: The Cross-Border Challenges (2010) (21)
- Prudential supervision to manage systemic vulnerability (1988) (21)
- The Capital Conundrum (2011) (20)
- The Economics of Workout Lending (1989) (19)
- The current crisis in international lending (1985) (16)
- The circles of time: An exploratory study in measuring temporal perceptions within organizations (1998) (15)
- The Known, the Unknown, and the Unknowable in Financial Policy: An Application to the Subprime Crisis (2009) (15)
- BCCI: LESSONS FOR INTERNATIONAL BANK SUPERVISION (1993) (15)
- Wind-down Plans as an Alternative (2010) (13)
- Less Really Can be More: Why Simplicity & Comparability Should be Regulatory Objectives (2016) (13)
- How Financial Oversight Failed & What it May Portend for the Future of Regulation (2010) (12)
- The role of the manufacturer's distributor: The case of champion chemicals (1995) (12)
- The Role of Capital in Financial Institutions Working Paper 95-01 (1995) (12)
- Growing Old: Paying for Retirement and Institutional Money Management after the Financial Crisis (2011) (11)
- The Capital Control Program and U. S. Investment Activity Abroad (1972) (11)
- Liquidity Shocks, Systemic Risk, and Market Collapse: Theory and Application to the Market for Perps * (2001) (10)
- Secret Money: The World of International Financial Secrecy (1987) (9)
- The Interbank Market (1985) (9)
- Lenders of Last Resort in a Globalized World (2009) (9)
- Rating "Agencies": How Regulation Might Help (2010) (8)
- What Happens When Countries Cannot Pay Their Bank Loans: The Renegotiation Process (1983) (8)
- Fair Value Accounting, Disclosure and Financial Stability: Does How We Keep Score Influence How the Game is Played? (2011) (7)
- Real Estate Cycles and Banking Crises: An International Perspective (1998) (7)
- Prudent Lending Restored: Securitization After the Mortgage Meltdown (2009) (7)
- Complexity and Systemic Risk (2014) (7)
- Managing International Risk.@@@Managing Foreign Exchange Risk. (1984) (6)
- International Financial Integration: The Continuing Process (1994) (6)
- Playing for time: the Fed’s attempt to mange the crisis as a liquidity problem (2015) (6)
- National Monetary Policies and International Financial Markets. (1978) (5)
- The Challenge of Resolving Cross-Border Financial Institutions (2014) (5)
- The Allocation of Risk in Cross-Border Deposit Transactions (1994) (4)
- Why and How Resolution Policy Must Be Improved (2009) (4)
- CoCos: A Promising Idea Poorly Executed (2017) (4)
- Real Estate through the Ages: The Known, the Unknown and the Unknowable (2007) (4)
- Real Estate through the Ages: The Known, the Unknown and the Unknowable (2007) (4)
- The Collapse of BCCI: Implications for the Supervision of International Banks (1994) (3)
- The Case for Rapid Resolution Plans (2013) (3)
- Comment on “Asian Crisis: Causes and Remedies” (1999) (3)
- P/E multiples: Comparative evidence for Japan and the United States (1994) (2)
- The Controversy Over Executive Compensation (2004) (2)
- Testimony of on " Risk Management and Its Implications for Systemic Risk " (2)
- Perspective: Country risk, a banker's view (1983) (2)
- Objectives and Challenges for Stress Testing (2019) (2)
- Common Liquidity Risk and Market Collapse: Lessons from the Market for Perps (2006) (2)
- The Central Role of Resolution Policy in Dealing with Systemically Important Financial Institution (2011) (2)
- Incentives to Improve the Corporate Governance of Risk in Financial Institutions (2012) (1)
- The Economic Rationale for Financial Regulation Reconsidered: An Essay in Honour of David Llewellyn (2011) (1)
- After the Crash: The Future of Finance (2010) (1)
- Perspective: The risks of lending to developing countries (1983) (1)
- Financial Economists Roundtable (1997) (1)
- International coordination of financial supervision: why has it grown? Will it be sustained? (2018) (1)
- The Need to Eat (1996) (1)
- The Cross-Border Challenge in Resolving Global Systemically Important Banks (2015) (1)
- FED Liquidity Policy during the Financial Crisis: Playing for Time (2014) (1)
- Tarp Version 1: A Turning Point in Crisis Management (2009) (1)
- On the Feasibility of Sterilization by More than One Country (1980) (1)
- The U.S. subprime crisis: lessons for regulations (2008) (1)
- Strategic Planning by International Banks to Cope with Uncertainty (1986) (1)
- The Corporate Complexity of Global Systemically Important Banks (2016) (0)
- Less Really Can be More: Why Simplicity & Comparability Should be Regulatory Objectives (2016) (0)
- 15. CREDIT RISK AND FINANCIAL INSTABILITY (2002) (0)
- Fair Value Accounting, Disclosure and Financial Stability (2012) (0)
- Comments and Discussion (2000) (0)
- Managing Foreign Exchange Risk: Essays Commissioned in Honor of the Centenary of the Wharton School, University of Pennsylvania (1986) (0)
- COUNTERCYCLICAL PROVISIONS, A PARTIAL ANSWER TO DISASTER (2017) (0)
- Introduction Albert Ando , (2008) (0)
- Financial Policymaking in the Context of the Known, the Unknown and the Unknowable (2013) (0)
- Meeting the Liquidity Challenge in Resolution: the US Approach (Presentation Slides) (2019) (0)
- How One School District Ignored Some 'Expert' Advice--and Saved. (1975) (0)
- Managing international risk: Introduction and overview (1983) (0)
- Meeting of the Resolution Project with Attendees from the Financial Deposit Insurance Corporation Hoover Institution, Washington, DC (2013) (0)
- Shadowing Capital Regulation: 1986–2015 (2018) (0)
- Financial Restructuring to Sustain Recovery (2013) (0)
- Comment on Kane (2000) (0)
- Statement of the Shadow Financial Regulatory Committee on Risks of Bank Concentration in Commercial Real Estate Lending (2006) (0)
- Corporate Complexity and Systemic Risk (2019) (0)
- How to Reform the Credit-Rating Process to Support a Sustainable Revival of Private-Label Securitization ¤ (2012) (0)
- The Evolving Complexity of Capital Regulation (2018) (0)
- International financial integration : capital flows and interest rate relationship among six industrial nations (1986) (0)
- Systemic Risk in a Global Context: Comment on Freixas, Hattori and Shin, and Kane (2009) (0)
- Prudent Lending Restored (2009) (0)
- 15. INTERNATIONAL BANKING: VULNERABILITY AND CRISIS (1984) (0)
- Term Premia on Euro Rates: Discussion (1984) (0)
- Countercyclical provisions, a partial answer to disaster myopia (2017) (0)
- DISCUSSION: ALTMAN AND SAUNDERS ON RELATIVE CREDIT RISK &: CAREY ON ABSOLUTE CREDIT RISK (2002) (0)
- Making Bankruptcy Work: Living Wills & the Liquidity Challenge (Presentation Slides) (2017) (0)
- How to Reform the Credit-Rating Process to Support a Revival of Private-Label Securitization (2016) (0)
- WHAT HAPPENS WHEN COUNTRIES (2009) (0)
- Rocky Times: New Perspectives on Financial Stability (2012) (0)
- International aspects of stabilization policies : proceedings of a conference held at Williamstown, Massachusetts, June 1974 (1974) (0)
- After the Crash (2017) (0)
- 1 CONCEPTUAL FRAMEWORK 1 Risk and Uncertainty 1 Shocks and Insolvency Exposure 2 The Disaster-Myopia Hypothesis 3 Conditions Conducive to Disaster Myopia 4 2 (2014) (0)
- The Capital Controls Program: Reply (1976) (0)
- Fed Liquidity Policy During the Financial Crisis (2015) (0)
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