Sweder J. G. Van Wijnbergen
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Economics
Sweder J. G. Van Wijnbergen's Degrees
- PhD Economics University of Amsterdam
- Masters Economics University of Amsterdam
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(Suggest an Edit or Addition)Sweder J. G. Van Wijnbergen'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 'Dutch disease': a disease after all? (1984) (774)
- Interest rate management in LDC's (1983) (265)
- Credit policy, inflation and growth in a financially repressed economy (1983) (257)
- Natural resources and the macroeconomy (1986) (222)
- Exchange Rate Management and Stabilization Policies in Developing Countries (1986) (219)
- Stagflationary effects of monetary stabilization policies: A quantitative analysis of South Korea (1982) (212)
- Inflation, Employment, and the Dutch Disease in Oil-Exporting Countries: A Short-Run Disequilibrium Analysis (1984) (175)
- Mexico and the Brady plan (1991) (172)
- Inflation and the Financing of Government Expenditure: an Introductory Analysis with an Application to Turkey (1989) (162)
- Taxation of foreign multinationals: A sequential bargaining approach to tax holidays (1994) (135)
- Export Incentives, Exchange Rate Policy and Export Growth in Turkey. (1993) (118)
- Natural resources and the macroeconomy : a theoretical framework (1985) (117)
- World development report 1985 (1985) (105)
- The welfare effects of trade and capital market liberalization (1986) (104)
- Tariffs, the Real Exchange Rate and the Terms of Trade: on Two Popular Propositions in International Economics (1987) (81)
- Macroeconomic aspects of the effectiveness of foreign aid: On the two-gap model, home goods disequilibrium and real exchange rate misalignment (1986) (81)
- Macroeconomic aspects of the effectiveness of foreign aid: On the two-gap model, home goods disequilibrium and real exchange rate misalignment (1986) (81)
- International Transmission of Monetary Policy (1986) (80)
- Aid, export promotion and the real exchange rate : an African dilemma (1986) (78)
- Can an oil discovery lead to a recession (1983) (78)
- Fiscal Deficits, Exchange Rate Crises and Inflation (1987) (76)
- Trade reform, aggregate investment and capital flight: On credibility and the value of information (1985) (74)
- Intertemporal Speculation, Shortages and the Political Economy of Price Reform: A Case Against Gradualism (1991) (69)
- Maize and the free trade agreement between Mexico and the United States (1992) (63)
- Disequilibrium and structural adjustment (1989) (62)
- Can abatement overcome the conflict between environment and economic growth? (1995) (62)
- On the Role of Banks in Enterprise Restructuring: The Polish Example (1997) (61)
- Measuring capital flight: A case study of Mexico (1995) (60)
- External Debt, Inflation, and the Public Sector: Toward Fiscal Policy for Sustainable Growth (1989) (57)
- Managing oil revenue volatility in Nigeria: The role of fiscal policy (2008) (56)
- Can abatement resolve the conflict between economic growth and the environment (1995) (56)
- Mexican agriculture in the free trade agreement : transition problems in economic reform (1992) (54)
- Revenue - neutral tariff reform : theory and an application to Cameroon (1986) (52)
- Quantitative approaches to fiscal sustainability analysis : a case study of Turkey since the crisis of 2001 (2009) (52)
- Macro-economic effects of changes in bank interest rates: Simulation results for South Korea (1985) (51)
- Transition problems in economic reform: agriculture in the North American free trade agreement (1995) (47)
- The impact of Czech privatisation methods on enterprise performance incorporating initial selection bias correction. (1997) (44)
- Savings, Commodity Market Rationing, and the Real Rate of Interest in China (1990) (44)
- Fiscal policies in Eastern Europe (1997) (44)
- Bank recapitalization and economic recovery after financial crises (2017) (40)
- Trade reform, policy uncertainty, and the current account (1990) (40)
- Government deficits, private investment and the current account: an intertemporal disequilibrium analysis (1987) (39)
- Tariffs, Employment and the Current Account: Real Wage Resistance and the Macroeconomics of Protectionism (1987) (37)
- Financial fragility, sovereign default risk and the limits to commercial bank bail-outs (2014) (35)
- Mexican agriculture in the free trade agreement (1992) (35)
- Oil Price Shocks, Unemployment, Investment and the Current Account: An Intertemporal Disequilibrium Analysis (1985) (35)
- Labor markets, migration and welfare Agriculture in the North-American Free Trade Agreement (1994) (34)
- Cash/debt buy-backs and the insurance value of reserves (1990) (34)
- Enterprise Reform in Eastern Europe (1993) (32)
- Real Exchange Rate Targeting and inflation in Turkey: an empirical analysis with policy credibility. (1997) (32)
- Evaluating the minimum asset tax on corporations: an option pricing approach (1999) (27)
- The economics of sustainable development: Industrial competitiveness, environmental regulation and direct foreign investment (1995) (27)
- Fiscal Deficits, Monetary Reform, and Inflation Stabilization in Romania (2000) (27)
- Chinese shadow banking, financial regulation and effectiveness of monetary policy (2019) (27)
- Transition problems in economic reform : agriculture in the Mexico - U.S. free trade agreement (1992) (22)
- Bank Restructuring and Enterprise Reform (1998) (20)
- Capital Controls and the Real Exchange Rate (1990) (19)
- On fiscal deficits, the real exchange rate and the world rate of interest (1986) (18)
- External Balance and Growth in Turkey: Can They Be Reconciled? (1990) (18)
- TAXATION OF INTERNATIONAL CAPITAL FLOWS, THE INTERTEMPORAL TERMS OF TRADE AND THE REAL PRICE OF OIL (1985) (18)
- Government deficits, the real interest rate and LDC debt : on global crowding out (1985) (16)
- Optimal Capital Accumulation and the Allocation of Investment between Traded and Nontraded Sectors in Oil-Producing Countries (1985) (16)
- Interdependence revisited: a developing countries perspective on macroeconomic management and trade policy in the industrial world (1985) (15)
- Inflation Stabilization, Fiscal Deficits and Public Debt Management in Poland (2001) (13)
- Debt Relief and Economic Growth in Mexico (1991) (13)
- Mexico's external debt restructuring in 1989-90 (1990) (12)
- Primary Commodity Prices, the Business Cycle and the Real Exchange Rate of the Dollar (1985) (12)
- Voucher Privatization, Corporate Control and the Cost of Capital: An Analysis of the Czech Privatization Programme (1995) (11)
- Long Term Government Debt, Financial Fragility and Sovereign Default Risk (2013) (11)
- Secondary Market Prices Under Alternative Debt Reduction Schemes: An Option Pricing Approach with an Application to Mexico (1990) (10)
- Open economies: structural adjustment and agriculture: Agricultural adjustment and the Mexico-USA free trade agreement (1992) (10)
- Fiscal Policy, Trade Intervention, and World Interest Rates: An Empirical Analysis (1988) (9)
- Interest rate management in developing countries : theory and simulation results for Korea (1983) (9)
- MONEY, ThE RATE OF DEVALUATION AND INTEREST RATES IN A SEMI-OPEN ECONOMY (1982) (8)
- Monopolistic competition, credibility and the output costs of disinflation programs An analysis of price controls (1988) (8)
- Recessions after Systemic Banking Crises: Does it matter how Governments intervene? (2013) (8)
- The optimal investment and current account response to oil price shocks under putty-clay technology (1984) (8)
- Oil price shocks and the current account: An analysis of short run adjustment measures (1984) (7)
- The 1990 Mexico and Venezuela recapture clauses: An application of average price options (1993) (7)
- Modeling trade policy: Agriculture in the Mexico-U.S. Free Trade Agreement: A General Equilibrium Analysis (1994) (7)
- Oil Discoveries, Intertemporal Adjustment and Public Policy (1985) (6)
- Debt management and inflation stabilization in Bulgaria. (1997) (5)
- Growth, External Debt and the Real Exchange Rate (1989) (5)
- Fiscal Deficits, Monetary Reform and Inflation in Transition Economies: The Case of Bulgaria (1995) (5)
- Assessing Debt Sustainability in a Stochastic Environment: 200 Years of Dutch Debt and Deficit Management (2012) (5)
- Quantitative Approaches to Fiscal Sustainability Analysis (2012) (4)
- Sovereign debt and bank fragility in Spain (2017) (4)
- LOCATION CHOICE , MARKET STRUCTURE AND BARRIERS TO TRADE : FOREIGN INVESTMENT AND THE NORTH AMERICAN FREE TRADE AGREEMENT (1993) (4)
- A note on fiscal policy under perfect capital mobility in a Keynesian two country world (1979) (4)
- Fiscal deficits, monetary reform and inflation stabilization in romania (2001) (4)
- Efficient pricing of natural gas: A case study of Egypt (1988) (4)
- Short-Run Macro-Economic Adjustment Policies in South Korea: A Quantitative Analysis (1982) (4)
- Protectionism and the Debt Crisis (1987) (3)
- Financial fragility and the fiscal multiplier (2013) (3)
- State Aid and Bank Intervention: The ING Illiquid Assets Back-up Facility (IABF) (2011) (3)
- Should price reform proceed gradually or in a"big bang?" (1991) (3)
- Tariffs, Employment and the Current Account : The Role of Real Wage Resistance (1984) (3)
- Inflation, external debt, and financial sector reform (1989) (3)
- Fiscal sustainability and oil wealth: Managing oil and gas volatility in Azerbaijan (2008) (2)
- Optimal Financing of Education with Imperfect Capital Markets and Risk (2000) (2)
- On real interest rates , tariff policy , exchange rates and the ZLB (2)
- Tariffs, employment and the current account : the role of the real wage resistance and the macroeconomics of protectionism (1985) (2)
- Economics of worldwide stagflation: Michael Bruno and Jeffrey Sachs, (Harvard University Press, Cambridge, MA, 1985) pp. vii+315, $25 (1986) (2)
- Optimal Taxation of Imported Energy under Price Uncertainty (1985) (2)
- Accounting Noise and the Pricing of Cocos (2018) (2)
- Capital market failure, adverse selection and optimal financing of higher education (2005) (2)
- On the role of commercial banks in enterprise restructuring: the Polish example. (1997) (1)
- Economic Growth and the Environment (1998) (1)
- Financial aspects of enterprise reform (1993) (1)
- Mexico after the debt crisis: On sustainability and growth (1995) (1)
- Labour Markets, Migration and Welfare: Agriculture in the Mexico—US Free Trade Agreement (1993) (1)
- CoCo Design, Risk Shifting Incentives and Financial Fragility. ECMI Working Paper No. 2 / January 2017 (2017) (1)
- Financial Frictions and the Credit Transmission Channel: Capital Requirements and Bank Capital (2013) (1)
- Fiscal deficits, monetary reform and inflation : the case of Romania (1996) (1)
- Guarantees as Options: An Evalutation of Foreign Debt Restructuring Agreements (2003) (1)
- Short Run Macro-Economic Effects Of Agricultural Pricing Policies (1984) (1)
- Interest Rates: An Empirical Analysis (1988) (0)
- UvA-DARE ( Digital Academic Repository ) Contingent convertibles : Can the market handle them ? (2017) (0)
- gratefully acknowledged. The research reported here is part of the NBER's research program in International Studies. Any opinions (1987) (0)
- The global macroeconomics of a trade war: Findings from the EAGLE model (2019) (0)
- World Bank Reprint Series: Number 236 (1982) (0)
- Debt sustainability when r - g (2020) (0)
- Financial Fragility and the Keynesian Multiplier (2017) (0)
- Government Deficits, Distortionary Taxes And The Current Account (1984) (0)
- Efficiency determinants of financial institutions (2010) (0)
- On the Role of Commercial Banks in Enterprise Restructuring: Lessons from Poland, Hungary and Slovenia (1999) (0)
- World Bank Reprinft Series: Number 318 (1983) (0)
- Bankiers hopen op overheid die 'penny wise and pound foolish' is (2013) (0)
- Risk and Macro Finance Working Paper Series No . 2016-03 Macroeconomics of Carry Trade and Debt Overhang (2016) (0)
- Dwing banken tot grotere kapitaalbuffers (2013) (0)
- program in International Studies. Any opinions expressed are those of the authors and not those of the National (1987) (0)
- Natural Resources and the Macroeconomy. (1987) (0)
- Economics of installing a CO2 tax in the Dutch tax system. Paper for a Science - Politics Roundtable in the Dutch House of Parliament (2019) (0)
- Budget Deficits, Interest Rates and the Incentive Effects of Income Tax Cuts (1987) (0)
- gratefully acknowledged. The views expressed in this paper are our own and do (1987) (0)
- Optimal Banking Union Design This Chapter Is Based on Zoican and Górnicka (2014). Apart from the Collaboration with Lucyna Górnicka, the Research Greatly Benefited from Discussion with 2.1 Introduction (2015) (0)
- Radioactive substances in food, milk and feed in the Netherlands: yearly bulletin 2021 (2023) (0)
- Shortages and price decontrol (1992) (0)
- University of Groningen Sovereign Debt and bank Fragility in Spain van der Kwaak, Christiaan; van Wijnbergen, Sweder (2016) (0)
- Capital Flight, Policy Credibility, and the Option Value of Foreign Exchange (1986) (0)
- Macroeconomics of Carry Trade and Debt Overhang (2016) (0)
- Financial architecture design, regulation and deposit insurance in Eastern Europe (1995) (0)
- Banking without foundation: observations from the Dutch discussion (2014) (0)
- Demographic Transition and Pension Policy in OECD Economies - Intergenerational Risk Sharing, Aggregate Savings and Labor Supply (2002) (0)
- Modelling transition problems in Mexican agriculture. (1994) (0)
- 1 Exchange Rate Management and Stabilization Policies in Developing Countries (2007) (0)
- The macroeconomics of carry trade gone wrong: Corporate and consumer losses in Emerging Europe (2021) (0)
- Lockdowns as Options (2021) (0)
- Real interest rates, exchange rates and the ZLB: on Secular Stagnation (2018) (0)
- Fiscal Deficits, Exchange Rate Crises and Inflation: On the Inflationary Consequences of Anti-Inflationary Exchange Rate Policies (1986) (0)
- UvA-DARE ( Digital Academic Repository ) Learning dynamics and the support for economic reforms : why good news (2012) (0)
- The key efficiency determinants of financial institutions (2012) (0)
- Managing volatility: Fiscal policy, debt management and oil revenues in the Republic of Congo (2008) (0)
- T1i oil price shocks of 1973/1974 and 1979/1980 spawned a large and still expanding literature on the macro-economic effects of increases in the price of intermediate inputs. This literature has yielded useful insights (the explicit (2016) (0)
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