Stephen G. Cecchetti
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Most Influential Person Now
American economist
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Economics
Stephen G. Cecchetti's Degrees
- PhD Economics University of California, Berkeley
- Masters Economics University of California, Berkeley
- Bachelors Economics University of California, Berkeley
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Why Is Stephen G. Cecchetti Influential?
(Suggest an Edit or Addition)According to Wikipedia, Stephen G Cecchetti is an American economist who has been the Barbara and Richard M Rosenberg Professor of Global Finance at Brandeis International Business School. His principal fields of interest are macroeconomics, monetary economics, financial economics, monetary policy, central banking, and the supply of money.
Stephen G. Cecchetti's Published Works
Published Works
- Reassessing the Impact of Finance on Growth (2012) (702)
- The Real Effects of Debt (2011) (664)
- Asset prices and central bank policy (2000) (652)
- The Author Would like to Thank (1988) (625)
- Legal Structure, Financial Structure, and the Monetary Policy Transmission Mechanism (1999) (497)
- The frequency of price adjustment: A study of the newsstand prices of magazines (1986) (496)
- Asset Prices in a Flexible Inflation Targeting Framework (2002) (398)
- Estimation of the Optimal Futures Hedge (1988) (393)
- Asset Pricing with Distorted Beliefs: Are Equity Returns Too Good to Be True? (1998) (360)
- Inflation and Uncertainty at Short and Long Horizons (1990) (324)
- Price Index Convergence Among United States Cities (2002) (283)
- Why Does Financial Sector Growth Crowd Out Real Economic Growth? (2015) (277)
- The Equity Premium and the Risk Free Rate: Matching the Moments (1991) (265)
- Distinguishing theories of the monetary transmission mechanism (1995) (252)
- The Future of Public Debt: Prospects and Implications (2010) (231)
- Measuring Core Inflation (1993) (209)
- Measuring Short-Run Inflation for Central Bankers (1996) (203)
- The Consumer Price Index as a Measure of Inflation (1993) (191)
- Financial Crises and Economic Activity (2009) (189)
- Assessing the Sources of Changes in the Volatility of Real Growth (2006) (185)
- Central Bank Structure, Policy Efficiency, and Macroeconomic Performance: Exploring Empirical Relationships (2002) (180)
- Assessing the macroeconomic impact of the transition to stronger capital and liquidity requirements (Final report) (2010) (177)
- Has the Inflation Process Changed (2006) (170)
- Crisis and Responses: The Federal Reserve in the Early Stages of the Financial Crisis (2009) (166)
- Understanding the Evolving Inflation Process (2007) (160)
- The Brave new World of Central Banking: Polcy Challenges posed by Asset Price Booms and Busts (2006) (155)
- Price Level Convergence Among United States Cities: Lessons for the European Central Bank (2000) (154)
- Inflation and the Distribution of Price Changes (1996) (145)
- Inflation Indicators and Inflation Policy (1995) (141)
- Do Capital Adequacy Requirements Matter for Monetary Policy? (2005) (135)
- Making monetary policy: objectives and rules (2000) (131)
- Structural Estimates of the U.S. Sacrifice Ratio (1999) (128)
- Financial Structure, Macroeconomic Stability and Monetary Policy (2001) (127)
- The Unreliability of Inflation Indicators (2000) (119)
- When Capital Adequacy and Interest Rate Policy are Substitutes (and When They are Not) (2012) (119)
- Measuring the Macroeconomic Risks Posed by Asset Price Booms (2006) (108)
- Central Counterparties for Over-the-Counter Derivatives (2009) (92)
- Money, Banking, and Financial Markets (2005) (92)
- Testing Volatility Restrictions on Intertemporal Marginal Rates of Substitution Implied by Euler Equations and Asset Returns (1992) (91)
- Inflation and Uncertainty at Long and Short Horizons (1990) (88)
- Achieving growth amid fiscal imbalances: the real effects of debt (2011) (88)
- Imperfect Information and Staggered Price Setting (1987) (85)
- Commodity Prices and Inflation Dynamics (2008) (83)
- Polcy Rules and Targets: Framing the Central Banker's Problem (1998) (83)
- Corporate Debt in Emerging Economies: A Threat to Financial Stability? (2015) (79)
- Crisis and Responses: The Federal Reserve and the Financial Crisis of 2007-2008 (2008) (79)
- What the FOMC Says and Does When the Stock Market Booms (2003) (77)
- Interpreting TARGET2 Balances (2012) (75)
- Toward a Global Risk Map (2010) (68)
- Policymakers' Revealed Preferences and the Output-Inflation Variability Trade-Off: Implications for the European System of Central Banks (2002) (66)
- Central Bank Tools and Liquidity Shortages (2009) (62)
- Variance-Ratio Tests: Small-Sample Properties With an Application to International Output Data (1994) (57)
- Weathering the Financial Crisis: Good Policy or Good Luck? (2011) (56)
- Monetary Policy and the Financial Crisis of 2007-2008 (2008) (54)
- Sources of Output Fluctuations During the Interwar Period: Further Evidence on the Causes of the Great Depression (1992) (53)
- Inflation Targeting, Price-Path Targeting and Output Variability (2003) (52)
- Evaluating Empirical Tests of Asset Pricing Models: Alternative Interpretations (1990) (52)
- Interactions between the seasonal and business cycles in production and inventories (1997) (51)
- Indexation and Incomes Policy: A Study of Wage Adjustment in Unionized Manufacturing (1987) (51)
- Wage Indexation and Discretionary Monetary Policy (1991) (50)
- Deflating Inflation Expectations: The Implications of Inflation's Simple Dynamics (2017) (48)
- Central Bank Policy Rules: Conceptual Issues and Practical Considerations (1997) (48)
- SHADOW BANKING AROUND THE GLOBE: HOW LARGE, AND HOW RISKY? (2014) (46)
- Why Does Credit Growth Crowd Out Real Economic Growth? (2018) (43)
- Inflation Targeting and Private Sector Forecasts (2009) (40)
- What Binds? Interactions between Bank Capital and Liquidity Regulations (2018) (39)
- Staggered Contracts and the Frequency of Price Adjustment (1985) (39)
- Measuring the Impact of Asset Price Booms Using Quantile Vector Autoregressions (2008) (37)
- The Future of Central Banking Under Post-Crisis Mandates (2011) (36)
- The Jury Is In (2015) (30)
- The European Central Bank and the Federal Reserve (2003) (29)
- Practical Issues in Monetary Policy Targeting (1996) (27)
- Does Prolonged Monetary Policy Easing Increase Financial Vulnerability? (2017) (25)
- Future of Financial Intermediation and Regulation: An Overview (1999) (25)
- Inflation measurement and the ECB's pursuit of price stability: a first assessment (2003) (25)
- The New Economy and the Challenges for Macroeconomic Policy (2002) (23)
- International Cycles (1995) (23)
- The Monthly Measurement of Core Inflation in Japan (1999) (22)
- Monetary Policy and the Measurement of Inflation: Prices, Wages and Expectations (2010) (21)
- Is There Macroprudential Policy Without International Cooperation? (2016) (20)
- On the Separation of Monetary and Prudential Policy: How Much of the Pre-Crisis Consensus Remains? (2015) (20)
- THE STOCK MARKET CRASH OF 1929 (1992) (18)
- Testing short-run neutrality (1986) (17)
- Deposit Insurance and External Finance (2004) (16)
- US or Domestic Monetary Policy: Which Matters More for Financial Stability? (2020) (16)
- The Road to Financial Stability: Capital Regulation, Liquidity Regulation, and Resolution (2015) (16)
- Integrating financial stability: new models for a new challenge (2009) (15)
- Comment on Inflation Uncertainty, Relative Price Uncertainty, and Investment in U.S. Manufacturing (1993) (14)
- Financial System and Macroeconomic Resilience: Revisited (2010) (14)
- A Note on the Efficient Estimation of Inflation in Brazil (2000) (14)
- The Seasonality of Consumer Prices (1995) (13)
- Financial Development , Consumption Smoothing , and the Reduced Volatility of Real Growth (2006) (13)
- Do Firms Smooth the Seasonal in Production in a Boom? Theory and Evidence (1995) (11)
- New Regulation and the New World of Global Banking (2011) (11)
- Portfolio Diversification, Futures Markets, and Uncertain Consumption Prices (1985) (11)
- Improving U.S. Monetary Policy Communications (2019) (11)
- Fiscal policy and its implications for monetary and financial stability (2011) (10)
- Global imbalances: current accounts and financial flows (2011) (10)
- Financial reform: a progress report (2010) (9)
- How to Cope With the Too-Big-to-Fail Problem? (2012) (9)
- Testing Short-run Neutrality: International Evidence (1987) (9)
- High real interest rates: can they be explained? (1986) (8)
- Mortgage Interest Deductibility and Housing Prices (1996) (7)
- Better Living through Monetary Economics (2008) (7)
- STAGGERED PRICE CONTRACTS AND INFLATION PERSISTENCE SOME GENERAL RESULTS (2004) (7)
- The Future Financial System (2014) (7)
- The future of financial intermediation and regulation (2012) (7)
- Central bank independence - a path less clear (2013) (7)
- On the equivalence of capital adequacy and monetary policy (2010) (6)
- Twenty Years of Inflation Targeting: Inflation targeting and private sector forecasts (2010) (6)
- Regulatory Reform: A Scorecard (2017) (6)
- Assessing the macroeconomic impact of OTC derivatives regulatory reforms (2013) (5)
- Strengthening the financial system: comparing costs and benefits (2010) (5)
- Towards an International Lender of Last Resort (2014) (5)
- Navigating the Great Recession: what role for monetary policy? (2013) (5)
- Monetary, prudential and fiscal policy: how much coordination is needed?* (2018) (5)
- How Central Bankers See it: The First Decade of ECB Policy and Beyond (2008) (5)
- A Stochastic Index of the Cost of Life; An Application to Recent and Historical Asset Price Fluctuations (2002) (4)
- Inflation Targeting versus Price-Path Targeting:: Looking for Improvements (2006) (4)
- The future of financial globalisation (2012) (4)
- Monetary Policy in the Next Recession? (2020) (3)
- Finance and Technology: What is Changing and What is Not (2020) (3)
- Is globalisation great (2012) (3)
- Will Video Kill the Radio Star? Digitalisation and the Future of Banking (2022) (3)
- Monetary policy lessons learned from the crisis and the post-crisis landscape (2011) (3)
- Real consequences of financial crises (2009) (3)
- Stress Testing Networks: The Case of Central Counterparties (2019) (3)
- Wage Indexation and Time-Consistent Monetary Policy (1989) (3)
- On the Stance of Macroprudential Policy (2021) (3)
- The ESRB at 1 (2012) (2)
- Seigniorage as a Tax: A Quantitative Evaluation: Comment (1991) (2)
- Lars E O Svensson: Inflation targeting after the financial crisis (2010) (2)
- Monetary Policy, Fiscal Policies and Labour Markets: The European Central Bank: a view from across the ocean (2004) (2)
- Monetary Policy and Financial Stability: What’s Ahead for Central and Eastern Europe (2011) (2)
- Implications for Monetary Policy (2001) (2)
- Alternatives to self-insurance (2010) (2)
- Closing Remarks: Property Markets and Financial Stability - Issues and Interpretations (2012) (2)
- Commentary on four papers on the impact of capital requirements on bank risk taking: empirical evidence (1998) (2)
- An Equilibrium Approach to the Theory of Futures Markets (1981) (1)
- House Prices and the Stance of Monetary Policy/Commentary/Commentary (2008) (1)
- Monetary Policy and Capital Regulation: is there a conflict? (2007) (1)
- Five years in the tower (2013) (1)
- Monitoring core inflation (1993) (1)
- Monetary Policy in a Low Inflation Environment: Thinking about Unconventional Monetary Policy Tools (2004) (1)
- The rules of the road making the financial system safe for everyone (2011) (1)
- The systemic importance of financial institutions 1 (2009) (1)
- Why Firms Smooth Seasonals in a Boom (1995) (1)
- Current efforts to enhance global financial supervision (2010) (1)
- Commentary on "House prices and the stance of monetary policy " (2008) (1)
- BIS Working Papers No 381 Reassessing the impact of finance on growth (2012) (1)
- Dynamics of Czech Inflation: The Role of the Trend and the Cycle (2020) (1)
- Commentary (1998) (0)
- - 1-Asset Prices in the Measurement of Inflation (2001) (0)
- Has the Inflation Process Changed? (2005) (0)
- Cecchetti , Mohanty and Zampolli The real effects of debt The real effects of debt (2011) (0)
- No . 2 An Introduction 2 to Currency Boards (2005) (0)
- PRELIMINARY DRAFT COMMENTS WELCOME FORECASTING OUTPUT AND INFLATION : THE ROLE OF ASSET PRICES May 2000 ( revised June 6 , 2000 ) (0)
- Comment (2011) (0)
- Stabilising Financial Markets: Lending and Market Making as a Last Resort (2023) (0)
- The Eurosystem Inflation Persistence Network (2006) (0)
- Behind the Scenes on September 11: How the Federal Reserve Made Sure that Cash Machines and Credit Cards Kept Working (2003) (0)
- The Use of Survey Data to Investigate Price Setting (2007) (0)
- Portfolio Choice with Uncertain Consumption Prices: a mean-variance approch (1980) (0)
- US or Domestic Monetary Policy: Which Matters More for Financial Stability? (2020) (0)
- Efficient Inflation Estimclticn (2005) (0)
- Measuring and Controlling Inflation (1995) (0)
- Bail-ins and the Appropriate Size of Financial Sectors (2013) (0)
- Evolution and Procedures in Central Banking: Commentary (2003) (0)
- States, Banks and the Financing of the Economy: Monetary Policy and Regulatory Perspectives (2013) (0)
- Bureau of Economic Research. Support from the Lynde and Harry (1987) (0)
- Comment on Estimating Policy-Invariant Deep Parameters in the Financial Sector When Risk and Growth Matter (1995) (0)
- Money, Banking, and Financial Markets - 5/E. (2018) (0)
- GDP at Risk: A Framework for Monetary Policy Responses to Asset Price Movements (2006) (0)
- ALLOCATIVE EFFICIENCY AND THE SEGMENTATION OF EXHAUSTIBLE RESOURCE OWNERSHIP (1987) (0)
- Research Update-July 2000 (2000) (0)
- Home People Topics Debates Jobs Events Tags Audio Subscribe Archive About Help (2011) (0)
- Comment on "Financial Cycles: What? How? When?" (2010) (0)
- How Central Bankers See It (2010) (0)
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