Sergio L. Schmukler
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Economics
Sergio L. Schmukler's Degrees
- PhD Economics University of California, Berkeley
- Masters Economics University of California, Berkeley
- Bachelors Economics University of Buenos Aires
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(Suggest an Edit or Addition)Sergio L. Schmukler'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
- Do Depositors Punish Banks for Bad Behavior? Market Discipline, Deposit Insurance, and Banking Crises (2001) (719)
- Gross Capital Flows: Dynamics and Crises (2011) (585)
- Short-Run Pain, Long-Run Gain: The Effects of Financial Liberalization (2002) (516)
- What Triggers Market Jitters? A Chronicle of the Asian Crisis (1999) (511)
- Bank Involvement with SMEs: Beyond Relationship Lending (2008) (509)
- Emerging Markets Instability: Do Sovereign Ratings Affect Country Risk and Stock Returns? (1999) (423)
- Why Do Emerging Economies Borrow Short Term? (2004) (353)
- Managers, Investors, and Crises: Mutual Fund Strategies in Emerging Markets (1999) (302)
- Short-Run Pain, Long-Run Gain: Financial Liberalization and Stock Market Cycles (2007) (253)
- Short-Run Pain, Long-Run Gain: The Effects of Financial Liberalization (Abstract ) (2003) (246)
- Emerging Market Instability : Do Sovereign Ratings Affect Country Risk and Stock Returns ? (2002) (230)
- Mutual Fund Investment in Emerging Markets: An Overview (1999) (204)
- Internationalization and Stock Market Liquidity (2005) (174)
- On the International Transmission of Shocks: Micro-Evidence from Mutual Fund Portfolios (2011) (171)
- TSP handbook to accompany "Econometric models and economic forecasts, fourth edition, Robert S. Pindyck, Daniel L. Rubinfeld" (1998) (165)
- Financial globalization and debt maturity in emerging economies (2006) (141)
- Innovative Experiences in Access to Finance: Market Friendly Roles for the Visible Hand? (2007) (139)
- Financial crises, credit ratings, and bank failures : emerging market instability - do sovereign ratings affect country risk and stock returns? (2002) (139)
- Financial Globalization: Gain and Pain for Developing Countries (2003) (131)
- Stock market development and internationalization: Do economic fundamentals spur both similarly? (2006) (129)
- Financing firms in hibernation during the COVID-19 pandemic (2020) (126)
- Living and Dying with Hard Pegs: The Rise and Fall of Argentina's Currency Board (2003) (125)
- Government Bonds in Domestic and Foreign Currency: The Role of Institutional and Macroeconomic Factors (2007) (122)
- Crisis, Contagion, and Country Funds: Effects on East Asia and Latin America (1996) (120)
- Verifying Exchange Rate Regimes (2001) (118)
- Financial Development in Latin America and the Caribbean: The Road Ahead (2011) (116)
- International Financial Integration Through Equity Markets: Which Firms from Which Countries Go Global? (2007) (115)
- Verifiability and the Vanishing Intermediate Exchange Rate Regime (2000) (115)
- Stock Market Development Under Globalization: Whither the Gains from Reforms? (2007) (113)
- Explaining the Migration of Stocks from Exchanges in Emerging Economies to International Center (2002) (113)
- How Resilient and Countercyclical Were Emerging Economies to the Global Financial Crisis? (2011) (113)
- Government Bonds in Domestic and Foreign Currency: The Role of Macroeconomic and Institutional Factors (2003) (112)
- Emerging Capital Markets and Globalization: The Latin American Experience (1960) (108)
- Country fund discounts and the mexican crisis of December 1994: Did local residents turn pessimistic before international investors? (1996) (107)
- Do Depositors Punish Banks for 'Bad' Behavior? Market Discipline in Argentina, Chile, and Mexico (1998) (104)
- Country Funds and Asymmetric Information (1997) (102)
- Country Fund Discounts, Asymmetric Information and the Mexican Crisis of 1994: Did Local Residents Turn Pessimistic Before International Investors? (1996) (101)
- Patterns of International Capital Raisings (2008) (98)
- Distributional Effects of Crises: The Financial Channel (2004) (93)
- Coping with Risks Through Mismatches: Domestic and International Financial Contracts for Emerging Economies (2004) (90)
- The International Financial Integration of China and India (2006) (80)
- International financial integration through the law of one price: The role of liquidity and capital controls (2009) (70)
- Market Discipline Under Systemic Risk: Evidence from Bank Runs in Emerging Economies (2004) (67)
- Deconstructing Herding: Evidence from Pension Fund Investment Behavior (2011) (67)
- Argentina's Financial Crisis: Floating Money, Sinking Banking ⊗ (2002) (67)
- Emerging Market Liquidity and Crises (2007) (66)
- Migration, Spillovers, and Trade Diversion: The Impact of Internationalization on Stock Market Liquidity (2003) (65)
- Migration, spillovers, and trade diversion: The impact of internationalization on domestic stock market activity (2007) (65)
- Short-Run Pain, Long-Run Gain (2003) (63)
- Depositor Behavior under Macroeconomic Risk: Evidence from Bank Runs in Emerging Economies (2010) (61)
- Vanishing Financial Contagion (2008) (61)
- FDI and Stock Market Development : Complements or Substitutes ? (2001) (60)
- Predicting Currency Fluctuations and Crises: Do Resident Firms Have an Informational Advantage? (1999) (55)
- Capital Market Development: Whither Latin America? (2007) (54)
- Crisis and Contagion in East Asia: Nine Lessons (2001) (54)
- Pricing Currency Risk under Currency Boards (2002) (53)
- How Resilient Were Emerging Economies to the Global Crisis (2011) (53)
- How resilient and countercyclical were emerging economies during the global financial crisis? (2012) (53)
- Financial Globalization: Unequal Blessings (2002) (52)
- Globalization and Firms' Financing Choices: Evidence from Emerging Economies (1999) (49)
- The Financing and Growth of Firms in China and India: Evidence from Capital Markets (2013) (48)
- How Firms Use Corporate Bond Markets under Financial Globalization (2015) (48)
- The Future of Stock Exchanges in Emerging Economies: Evolution and Prospects (2002) (47)
- Short- and Long-Run Integration: Do Capital Controls Matter? (1999) (46)
- International Asset Allocations and Capital Flows: The Benchmark Effect (2014) (45)
- Unexploited Gains From International Diversification: Patterns Of Portfolio Holdings Around The World (2010) (43)
- Distributional Effects of Crises: The Role of Financial Transfers (2003) (42)
- The Price of Inconvertible Deposits: The Stock Market Boom During the Argentine Crisis (2003) (41)
- Drivers and Obstacles to Banking Smes: The Role of Competition and the Institutional Framework (2008) (40)
- Financial Development in Asia: Beyond Aggregate Indicators (2014) (39)
- The Fintech Revolution: A Threat to Global Banking? (2018) (38)
- PENSION FUNDS AND CAPITAL MARKET DEVELOPMENT : HOW MUCH BANG FOR THE BUCK ? (2008) (37)
- Benefits and Risks of Financial Globalization : Challenges for Developing Countries (2004) (37)
- Addressing the SME Finance Problem (2017) (36)
- Crisis Management in Argentina During the 1994-95 Mexican Crisis: How Did Markets React? (1998) (35)
- Whither Latin American Capital Markets (2004) (35)
- How Firms Use Domestic and International Corporate Bond Markets (2012) (34)
- Capital Market Financing, Firm Growth, and Firm Size Distribution (2015) (32)
- Latin America and the Rising South: Changing World, Changing Priorities (2015) (29)
- Robo-Advisors: Investing Through Machines (2019) (29)
- Market Discipline in Emerging Economies: Beyond Bank Fundamentals (2004) (28)
- Pension Funds and Capital Market Development (2008) (28)
- Economic Fragility, Liquidity, and Risk: The Behavior of Mutual Funds during Crises (2000) (28)
- Financial Development: Maturing and Emerging Policy Issues (2007) (28)
- Institutional Investors and Long-Term Investment: Evidence from Chile (2014) (27)
- Emerging Capital Markets and Globalization (2006) (27)
- Public Credit Guarantees and Access to Finance (2016) (27)
- Emerging issues in financial development : lessons from Latin America (2013) (24)
- Evidence from Chile (2014) (24)
- International Financial Integration Through the Law of One Price (2006) (24)
- International Asset Allocations and Capital Flows (2017) (24)
- Financial Development in Latin America and the Caribbean: Stylized Facts and the Road Ahead (2013) (23)
- Accessing International Equity Markets: What Firms from Which Countries Go Abroad? (2003) (23)
- Crises, Capital Controls, and Financial Integration (2008) (22)
- Financial Crises: Nine Lessons from East Asia (2005) (22)
- International Financial Integration of East Asia and Pacific (2016) (21)
- The Evolving Role of China and India in the Global Financial System (2007) (20)
- Corporate Debt Maturity in Developing Countries: Sources of Long and Short‐Termism (2017) (19)
- Pricing Currency Risk: Facts and Puzzles from Currency Boards (2002) (17)
- Financial Development in Latin America: Big Emerging Issues, Limited Policy Answers (2006) (17)
- Emerging Market Instability (2012) (17)
- Search for Yield in Large International Corporate Bonds: Investor Behavior and Firm Responses (2019) (16)
- Latin America's deceleration and the exchange rate buffer (2013) (15)
- Inequality in a Lower Growth Latin America : LAC Semiannual Report, October 2014 (2014) (15)
- Debt Markets in Emerging Economies: Major Trends (2014) (15)
- Financial Crises and International Portfolio Dynamics (2010) (14)
- The Rise of Domestic Capital Markets for Corporate Financing (2019) (13)
- Financial globalization and crises: overview (2013) (13)
- Unexploited Gains from International Diversification (2008) (13)
- Capital Market Financing and Firm Growth (2020) (12)
- Growth of Global Corporate Debt: Main Facts and Policy Challenges (2020) (12)
- The Long and the Short of Emerging Market Debt (2009) (12)
- Capital Inflows, Equity Issuance Activity, and Corporate Investment (2018) (11)
- Policy Responses to the Global Financial Crisis: What Did Emerging Economies Do Differently? (2013) (11)
- How long is the maturity of corporate borrowing ? evidence from bond and loan issuances across markets (2016) (11)
- The Future of Stock Exchanges: Determinants and Prospects (2002) (10)
- Crisis Management in Capital Markets: The Impact of Argentine Policy during the Tequila Effect (1998) (10)
- How Do Banks Serve SMEs? Business and Risk Management Models (2008) (9)
- Chapter 5. Financial Globalization: Opportunities and Challenges for Developing Countries * (2001) (9)
- Government Bonds in Domestic and Foreign Currency: The Role of Institutional Factors (2003) (8)
- Capital Market Financing, Firm Growth, Firm Size Distribution (2014) (8)
- International Financial Integration Through Equity Markets (2007) (8)
- Verifiability: A Rationale for the Failure of Intermediate Exchange Rate Regimes (2000) (8)
- Toward Successful Development Policies: Insights from Research in Development Economics (2020) (7)
- Innovative Experiences in Access to Finance (2017) (7)
- Financial Globalization: A Glass Half Empty? (2017) (7)
- Mutual Fund Investment in Emerging Markets (2012) (7)
- Are Public Credit Guarantees Worth the Hype? (2017) (6)
- Vanishing Contagion? (2006) (6)
- Financial Globalization in Emerging Countries: Diversification vs. Offshoring (2012) (6)
- Understanding the Use of Long-term Finance in Developing Economies (2017) (6)
- Looking Beyond Averages (2018) (5)
- Preliminary version for comments How did highly indebted poor countries become highly indebted ? Reviewing two decades of debt relief (1999) (5)
- Corporate Debt Maturity in Developing Countries (2017) (4)
- Back to global imbalances (2009) (4)
- How Resilient Were Emerging Economies to the Global Economic Crisis (2011) (4)
- Corporate Borrowing and Debt Maturity: The Effects of Market Access and Crises (2016) (4)
- HOW LONG IS LONG TERM IN EMERGING ECONOMIES ? (2008) (4)
- Financial Integration in East Asia and Pacific: Regional and Interregional Linkages (2018) (3)
- The Search for Yield and the Size Premium in Emerging Market Corporate Debt (2018) (3)
- How Much Bang for the Buck? (2008) (3)
- Corporate Borrowing in Emerging Markets: Fairly Long Term, But Only for a Few (2018) (3)
- The Changing Patterns of Financial Integration in Latin America (2015) (3)
- International Financial Integration Through Equity Markets; Which Firms from Which Countries Go Global? (2007) (3)
- The Benefits and Risks of Financial Globalization (2008) (3)
- Financial Crises in Japan and Latin America (2003) (2)
- Financial Globalization: Some Basic Indicators for Latin America and the Caribbean (2013) (2)
- Drivers and Obstacles to Banking SMEs (2010) (2)
- Comments on R. Cooper, M. Bordo and H. James: Exchange rate arrangements and disarrangements: prospects for a world currency (2006) (2)
- The World Bank research observer 22 (1) (2007) (2)
- Global Corporate Debt During Crises: Implications of Switching Borrowing Across Markets (2020) (2)
- The Structure of Trade Linkages and Economic Growth (2015) (2)
- Using Big Data to Expand Financial Services: Benefits and Risks (2019) (2)
- Bilateral International Investments: The Big Sur? (2020) (2)
- Conceptual Issues in Access to Finance (2017) (2)
- Firm Financing and Growth in the Arab Region (2016) (2)
- The Distribution of Crisis Credit: Effects on Firm Indebtedness and Aggregate Risk (2022) (2)
- Managing Volatility and Crises Overview (2004) (2)
- World Bank Economic Review 16 (2), May 2002 (2002) (2)
- Microfinance: BancoEstado’s Experience in Chile (2017) (1)
- International Asset Allocation: The Benchmark Effect (2012) (1)
- Responses of Emerging Countries to the Global Financial Crisis (2011) (1)
- Macroprudential Policies over the Cycle in LAC (2011) (1)
- A New Role for Development Banks? (2017) (1)
- Rating Agencies and Financial Markets (2002) (1)
- Financial Inclusion: Where Does LAC Stand? (2011) (1)
- Understanding the Use of Long-term Finance in Developing Economies* (2018) (1)
- What Happens when the Fed Tightens? Interest Rate Sensitivity and Currency Regime ♣ (2000) (1)
- Financial Globalization: Where Does LAC Stand? (2011) (1)
- Capital Raising in the Arab World (2017) (1)
- Working Paper 5056 The Long and the Short of Emerging Market Debt Luis Opazo (2009) (0)
- The Role of the State in Broadening Access (2017) (0)
- Financial Innovation and Additionality: The Power of Economic Analysis and Data Analytics (2019) (0)
- Prudential Oversight: Where Does LAC Stand? (2011) (0)
- Concluding Thoughts and Open Questions on the Role of the State in Fostering Finance (2017) (0)
- Domestic Financial Development: Where Does LAC Stand? (2011) (0)
- BIG EMERGING ISSUES, LIMITED POLICY ANSWERS (2006) (0)
- The Changing Patterns of Financial Integration in Latin America and the Caribbean (2015) (0)
- The Internationalization of China’s Equity Markets (2023) (0)
- Finan. Intermediation International financial integration through the law of one price: The role of liquidity and capital controls (2015) (0)
- Big Emerging Markets, Big Labor Market Dislocations? (2015) (0)
- Benchmark Indexes, Firm Financing, and Real Effects: Evidence from a Global Natural Experiment (0)
- Development Digest : Navigating the New Normal (2020) (0)
- Comments Welcome COUNTRY FUNDS AND ASYMMETRIC INFORMATION (2002) (0)
- The Impact of Benchmark Investing by Institutional Investors on International Capital Allocations (2018) (0)
- Using Big Data to Expand Financial Services (2019) (0)
- Ascending with the South Winds: Will Low Saving in Latin America and the Caribbean Be a Drag? (2015) (0)
- Financial Structure and Economic Growth: A Cross-Country Comparison of Banks, Markets, and Development, (with Asli Demirguc-Kunt). MIT Press, 2001. (2012) (0)
- Sergio Schmukler , joint with Esteban Vesperoni Globalization and Firms ́ Financing Choices (2001) (0)
- The fi nancing and growth of fi rms in China and India : Evidence from capital markets q (2015) (0)
- Maximizing knowledge for development (2018) (0)
- NBER WORKING PAPER SERIES SOVEREIGN BOND PRICES, HAIRCUTS AND MATURITY (2017) (0)
- The World Bank Research Observer 22 (1), May 2006 (2007) (0)
- The Equity Gap (2011) (0)
- Correspondent Banking Arrangements: The Experience of Brazil (2017) (0)
- Structured Finance: FIRA's Experience in Mexico (2017) (0)
- Debt Markets in Emerging Economies: Major Trends (2014) (0)
- Financial Development: Bright Side, Patterns, Paths, and Dark Side (2011) (0)
- Credit Guarantees: FOGAPE’s Experience In Chile (2017) (0)
- Sovereign risk and international portfolio dynamics (2009) (0)
- Unexploited Gains from International Diversification: Evidence from the Mutual Fund Industry (2009) (0)
- Latin American Stock Markets: Recent History and Prospects (2012) (0)
- An Online Platform for Reverse Factoring Transactions: NAFIN’s Experience in Mexico (2017) (0)
- Financial Market Integration: New Challenges for Regulation in Europe and Beyond (2009) (0)
- Deconstructing Herding: Evidence from Pension Fund Investment Behavior (2012) (0)
- Unexploited Gains from International Diversification?; IMF Ninth Jacques Polak Annual Research Conference; November 13 and 14, 2008 (2008) (0)
- Policy Thinking on Financial Development : Where We Stand (2007) (0)
- The Banking Gap (2011) (0)
- Population, Health, and Nutrition: Annual Operational Review for Fiscal 1992 (1993) (0)
- ECONOMETRIC MODELS AND ECONOMIC FORECASTS (2011) (0)
- A regular series of notes highlighting recent lessons emerging from the operational and analytical program of the World Bank ‘ s Latin America and Caribbean Region WHITHER LATIN AMERICAN CAPITAL MARKETS ? (2004) (0)
- Three Global Trends That Shaped Latin American and Caribbean Development at the Dawn of the Twenty-First Century (2015) (0)
- Summary of Policy Directions for the Road Ahead (2011) (0)
- Risk Bearing by the State: A Collective Action Perspective (2011) (0)
- Forthcoming in International Finance FINANCIAL GLOBALIZATION : UNEQUAL BLESSINGS (2002) (0)
- Insights from Research in Development Economics (2020) (0)
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