Simon G. Gilchrist
#159,686
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Simon G. Gilchrist's AcademicInfluence.com Rankings
Simon G. Gilchristeconomics Degrees
Economics
#3448
World Rank
#3908
Historical Rank
Monetary Economics
#95
World Rank
#99
Historical Rank
Macroeconomics
#310
World Rank
#328
Historical Rank

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Economics
Simon G. Gilchrist's Degrees
- PhD Economics University of Pennsylvania
- Masters Economics University of Pennsylvania
- Bachelors Economics University of Pennsylvania
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Why Is Simon G. Gilchrist Influential?
(Suggest an Edit or Addition)Simon G. Gilchrist'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 Financial Accelerator in a Quantitative Business Cycle Framework (1998) (6515)
- The Financial Accelerator and the Flight to Quality (1994) (2500)
- Monetary Policy, Business Cycles and the Behavior of Small Manufacturing Firms (1991) (2365)
- Credit Spreads and Business Cycle Fluctuations (2011) (1640)
- Evidence on the role of cash flow for investment (1995) (1234)
- Uncertainty, Financial Frictions, and Investment Dynamics (2014) (862)
- The Role of Credit Market Imperfections in the Monetary Transmission Mechanism: Arguments and Evidence (1993) (796)
- External Constraints on Monetary Policy and the Financial Accelerator (2003) (711)
- Credit Market Shocks and Economic Fluctuations: Evidence from Corporate Bond and Stock Markets (2009) (523)
- The Macroeconomic Impact of Financial and Uncertainty Shocks (2016) (422)
- Do Stock Price Bubbles Influence Corporate Investment? (2004) (383)
- Inflation Dynamics During the Financial Crisis (2015) (361)
- Monetary policy and asset prices (2002) (305)
- Credit Risk in the Euro Area (2014) (206)
- Commercial paper, corporate finance, and the business cycle: a microeconomic perspective (1995) (197)
- Putty‐Clay and Investment: A Business Cycle Analysis (1998) (183)
- Credit Risk and the Macroeconomy: Evidence from an Estimated DSGE Model (2009) (180)
- Monetary Policy and Real Borrowing Costs at the Zero Lower Bound (2013) (175)
- Misallocation and Financial Market Frictions: Some Direct Evidence from the Dispersion in Borrowing Costs (2011) (136)
- Credit Spreads as Predictors of Real-Time Economic Activity: A Bayesian Model-Averaging Approach (2011) (132)
- What Happened: Financial Factors in the Great Recession (2018) (129)
- The Impact of the Federal Reserve's Large-Scale Asset Purchase Programs on Corporate Credit Risk (2013) (116)
- The cyclical behavior of short term business lending: implications for financial propagation mechanisms (1993) (109)
- Expectations, Asset Prices, and Monetary Policy: The Role of Learning (2006) (95)
- Monetary Policy and Credit Supply Shocks (2011) (86)
- The importance of credit for macroeconomic activity: identification through heterogeneity (1998) (78)
- Investment, Capacity, and Uncertainty: A Putty-Clay Approach (2002) (76)
- Monetary Policy and the Financial Accelerator in a Monetary Union (2002) (61)
- The Fed Takes On Corporate Credit Risk: An Analysis of the Efficacy of the SMCCF (2020) (54)
- Updating the Recession Risk and the Excess Bond Premium (2016) (45)
- Transition Dynamics in Vintage Capital Models: Explaining the Postwar Catch-Up of Germany and Japan (2004) (42)
- Financial Markets and Financial Leverage in a Two-Country World-Economy (2004) (41)
- Us Monetary Policy and International Bond Markets (2018) (41)
- Uncertainty, Financial Frictions, and Irreversible Investment (2012) (39)
- Investment During the Korean Financial Crisis: A Structural Econometric Analysis (2007) (38)
- Credit Supply Shocks and Economic Activity in a Financial Accelerator Model (2012) (37)
- [Unemployment Expectations, Jumping (S,s) Triggers, and Household Balance Sheets]: Comment (1997) (36)
- Recession Risk and the Excess Bond Premium (2016) (31)
- Customer Markets and Financial Frictions : Implications for Inflation Dynamics (2015) (29)
- Uncertainty, Credit Spreads, and Investment Dynamics (2009) (29)
- U.S. Monetary Policy and Foreign Bond Yields (2014) (27)
- The Response of Sovereign Bond Yields to U.S. Monetary Policy (2016) (26)
- Trade Orientation and Labor Market Evolution: Evidence from Chilean Plant-level Data (2005) (26)
- The Real Effects of Credit Booms and Busts: A County-Level Analysis (2018) (25)
- Bank Lending and Credit Supply Shocks (2012) (24)
- An Exploration of Technology Di ¤ usion (2009) (24)
- Financial Heterogeneity and Monetary Union (2018) (24)
- Expectations, Asset Prices, and Monetary Policy (2008) (23)
- Linkages Between the Financial and Real Sectors: An Overview (2008) (17)
- American Economic Journal: Macroeconomics (2019) (15)
- Credit Risk and the Macroeconomy (2010) (14)
- Sovereign Risk and Financial Risk (2021) (13)
- On the Identification of Financial and Uncertainty Shocks (2013) (13)
- Improving Our Ability to Monitor Bank Lending (2011) (13)
- Houses as collateral: has the link between house prices and consumption in the U.K. changed? commentary (2002) (12)
- Investment During the Korean Financial Crisis : A Structural Econometric Approach 1 (2006) (12)
- Trade Exposure and the Evolution of Inflation Dynamics (2019) (11)
- Irreversibility and Investment Dynamics for Chilean Manufacturing Plants: A Maximum Likelihood Approach (2006) (11)
- Skill-biased Technology Adoption: Evidence for the Chilean manufacturing sector (2005) (11)
- Comment on: Banking and interest rates in monetary policy analysis: A quantitative exploration (2007) (10)
- Investment, Capacity, and Output: A Putty-Clay Approach (1998) (10)
- The Impact of the Federal Reserve's Large-Scale Asset Purchase Programs on Default Risk (2012) (8)
- Monetary Policy and Real Borrowing Costs at the ZLB (2013) (7)
- Misallocation and Financial Frictions: Some Direct Evidence from the Dispersion in Borrowing Costs (2012) (6)
- Investment During the Korean Financial Crisis: the Role of Foreign Denominated Debt1 (2005) (5)
- Hypothesis Testing with Two-Step GMM Estimators (1995) (4)
- Do Firm-Level Shocks Generate Aggregate Fluctuations ? (2015) (3)
- Finance and Economics Discussion Series Divisions of Research & Statistics and Monetary Affairs Federal Reserve Board , Washington , D . C . Uncertainty , Financial Frictions , and Investment Dynamics (2014) (2)
- Quantitative Economic Research WORKING PAPER SERIES FEDERAL RESERVE BANK of ATLANTA Inflation Dynamics during the Financial Crisis (2015) (1)
- Interest Rates and Investment Redux (2006) (1)
- The Channels of Financial Distress During the Great Recession: Some Evidence on the Aggregate Effects (2019) (1)
- The Term Structure of the Excess Bond Premium: Measures and Implications (2021) (1)
- Code and data files for "Misallocation and Financial Market Frictions: Some Direct Evidence from the Dispersion in Borrowing Costs" (2012) (1)
- www.econstor.eu Sovereign Debt Restructurings: Preemptive or Post-Default (2015) (0)
- Kauffman Dissertation Fellowship Program KDFP Kauffman Dissertation Fellowship Program KDFP Kauffman Dissertation Fellowship Program KDFP Kauffman Dissertation Fellowship Program KDFP Kauffman Dissertation Fellowship Program KDFP Kauffman Dissertation Fellowship Program KDFP Kauffman Dissertation Fe (2012) (0)
- Finance and Economics Discussion Series Divisions of Research & Statistics and Monetary Affairs Federal Reserve Board , Washington , D . C . Inflation Dynamics During the Financial Crisis (2015) (0)
- [The Cost Channel of Monetary Transmission]: Comment (2001) (0)
- Tolley's Director's Duties (2007) (0)
- THE ~MPORTANCE OF CREDIT FOR I~ACROECONOMIC ACTIVITY: ~DENTIFICATION THROUGH HETEROGENEITY (2008) (0)
- Financial Friction and Monetary Union (2014) (0)
- Amplifying Business Cycles through Credit Constraints (2019) (0)
- Has the development of the structured credit market affected the cost of corporate debt? - comments (2006) (0)
- The Financial Accelerator and International Business Cycles under Alternative Monetary Regimes . (2001) (0)
- WP / 16 / 37 Sovereign Defaults , External Debt , and Real Exchange Rate Dynamics (2016) (0)
- approach builds on the recent work of (2010) (0)
- Editors' Summary (2012) (0)
- Large Shareholders and Sticky Prices: Evidence from a Corporate Governance Reform∗ (2020) (0)
- Working Paper / Document de travail 2010-26 Capital Requirement and Financial Frictions in Banking : Macroeconomic Implications (2010) (0)
- The Role of Financial Factors in Economic Fluctuations (2018) (0)
- Investment , Capacity , and (1998) (0)
- Web appendix (not for publication) to “Overtime Labor, Employment Frictions and the New Keynesian Phillips Curve” (2013) (0)
- # 157 Legal Reform and Loan Repayment : The Microeconomic 2 Impact of Debt Recovery Tribunals in India (2006) (0)
- Replication data for: Inflation Dynamics during the Financial Crisis (2019) (0)
- Supplemental appendix to “Causal Effects of Monetary Shocks: Semiparametric Conditional Independence Tests with a Multinomial Propensity Score” by Joshua D. Angrist (2010) (0)
- Financial Heterogeneity and Monetary Union Technical Appendix – For Online publication Only (2018) (0)
- Misallocation Losses Owing to Financial Distortions: Direct Evidence From Dispersion in Borrowing Costs (2011) (0)
- Life-Cycle Consumption Plans and Portfolio Policies in a Heath-Jarrow-Morton Economy (2007) (0)
- Does Monetary Policy Matter ? Semiparametric Conditional Independence Tests Using the Policy Propensity Score (2005) (0)
- The Role of Learning (2010) (0)
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