V. V. Chari
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Indian-American economist
V. V. Chari's AcademicInfluence.com Rankings
V. V. Charieconomics Degrees
Economics
#523
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#643
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Monetary Economics
#18
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#18
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Macroeconomics
#315
World Rank
#334
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Economics
Why Is V. V. Chari Influential?
(Suggest an Edit or Addition)According to Wikipedia, Varadarajan Venkata Chari is an Indian-American economist and professor of economics, currently teaches macroeconomic theory, public economics, and monetary economics at the University of Minnesota's College of Liberal Arts.
V. V. Chari's Published Works
Published Works
- Can Sticky Price Models Generate Volatile and Persistent Real Exchange Rates? (2000) (1238)
- Business Cycle Accounting (2004) (993)
- Sticky Price Models of the Business Cycle: Can the Contract Multiplier Solve the Persistence Problem? (1996) (812)
- Optimal Fiscal and Monetary Policy (1999) (743)
- Optimal Fiscal Policy in a Business Cycle Model (1993) (620)
- Banking Panics, Information, and Rational Expectations Equilibrium (1988) (613)
- New Keynesian Models: Not Yet Useful for Policy Analysis (2008) (480)
- Vintage Human Capital, Growth, and the Diffusion of New Technology (1991) (409)
- Optimal fiscal and monetary policy: some recent results (1991) (367)
- Sustainable Plans (1990) (333)
- Are Structural Vars with Long-Run Restrictions Useful in Developing Business Cycle Theory? (2008) (278)
- Optimality of the Friedman Rule in Economies with Distorting Taxes (1993) (265)
- Taxing capital income: a bad idea (1999) (263)
- Sticky Price Models of the Business Cycle: Can the Contract Multiplier Solve the Persistence Problem? : Impulse Response Tables and Additional Files (1998) (215)
- Expectation Traps and Discretion (1996) (204)
- The Economics of Split-Ticket Voting in Representative Democracies (1997) (202)
- Seasonalities in security returns: The case of earnings announcements (1988) (201)
- Facts and myths about the financial crisis of 2008 (2008) (183)
- A Critique of Structural VARs Using Real Business Cycle Theory (2004) (182)
- Expectation Traps and Monetary Policy (2002) (170)
- Sustainable plans and mutual default (1990) (161)
- On the need for fiscal constraints in a monetary union (2007) (159)
- Modern Macroeconomics in Practice: How Theory is Shaping Policy (2006) (158)
- Inside Money, Outside Money and Short Term Interest Rates (1994) (153)
- The Poverty of Nations: A Quantitative Exploration (1996) (149)
- Accounting for the Great Depression (2002) (139)
- Monetary Shocks and Real Exchange Rates in Sticky Price Models of International Business Cycles (1997) (135)
- Hot Money (1997) (131)
- Time consistency and policy (1988) (128)
- Chapter 26 Optimal fiscal and monetary policy (1999) (124)
- Sustainable plans and debt (1993) (107)
- Time Consistency and Free-Riding in a Monetary Union (2002) (105)
- Banking without deposit insurance or bank panics: Lessons from a model of the U (1989) (104)
- The growth effects of monetary policy (1995) (103)
- Bailouts, Time Inconsistency, and Optimal Regulation (2013) (101)
- Involuntary Unemployment and Implicit Contracts (1983) (97)
- Sophisticated Monetary Policies (2009) (95)
- Bailouts, Time Inconsistency, and Optimal Regulation: A Macroeconomic View (2016) (90)
- Adverse Selection in a Model of Real Estate Lending (1989) (71)
- Accounting for Business Cycles (2016) (58)
- Rethinking Optimal Currency Areas (2020) (51)
- A contribution to the theory of pork barrel spending (1993) (50)
- Prizes and patents: Using market signals to provide incentives for innovations (2012) (49)
- On the Desirability of Fiscal Constraints in a Monetary Union (2004) (49)
- Reputation and Persistence of Adverse Selection in Secondary Loan Markets (2014) (48)
- A Critique of Structural VARs Using Business Cycle Theory (2005) (44)
- Appendices: Business cycle accounting (2006) (43)
- How Severe is the Time Inconsistency Problem in Monetary Policy? (2001) (41)
- Are Structural VARs Useful Guides for Developing Business Cycle Theories (2005) (39)
- Adverse Selection, Reputation and Sudden Collapses in Secondary Loan Markets (2010) (38)
- On the Optimality of Financial Repression (2020) (38)
- Time consistency and optimal policy design (1988) (35)
- Nobel Laureate Robert E. Lucas, Jr.: Architect of Modern Macroeconomics (1998) (34)
- A reconsideration of the problem of social cost: Free riders and monopolists (1991) (33)
- Financial Crises as Herds (1999) (31)
- Business Start-ups, The Lock-in Effect, and Capital Gains Taxation (2005) (30)
- Inflation, Growth, and Financial Intermediation (1996) (29)
- The Hammer and the Scalpel: On the Economics of Indiscriminate Versus Targeted Isolation Policies During Pandemics (2020) (29)
- Discussion of "QE 1 vs. 2 vs. 3...: A framework for analyzing large-scale asset purchases as a monetary policy tool" (2013) (29)
- Asking the Right Questions About the IMF (1998) (28)
- Optimal capital taxation revisited (2018) (26)
- Comparing alternative representations and alternative methodologies in business cycle accounting (2007) (26)
- Policy Analysis in Business Cycle Models (2020) (25)
- Why are representative democracies fiscally irresponsible (1993) (25)
- Price Stability and Futures Trading in Commodities (1990) (23)
- Accounting for the Great Depression (technical appendix) (2002) (23)
- How the U.S. Treasury Should Auction Its Debt (1992) (22)
- On the Optimal Choice of a Monetary Policy Instrument (2007) (22)
- On the social usefulness of fractional reserve banking (2014) (22)
- How the U . S . Treasury Should Auction Its Debt (1992) (19)
- On the Job Training, Limited Commitment and Firing Costs (2008) (16)
- A Macroeconomist's Wish List of Financial Data (2012) (12)
- A DYNAMIC THEORY OF RESOURCE WARS (2012) (11)
- Comparing Alternative Representations, Methodologies, and Decompositions in Business Cycle Accounting ∗ (2006) (11)
- Financialization in Commodity Markets (2017) (11)
- [The U.S. Fiscal Problem: Where We Are, How We Got Here, and Where We're Going]: Comment (1994) (11)
- More on the Optimal Taxation of Capital (2016) (11)
- On the robustness of herds (2002) (10)
- KEHOE Time Inconsistency and FreeRiding in a Monetary Union (2002) (9)
- Financial Repression: Evidence and Theory (2016) (8)
- The Optimal Extraction of Exhaustible Resources (2014) (7)
- 48. The Heterogeneous State of Modern Macroeconomics: A Response to Robert Solow (2008) (7)
- A journey down the slippery slope to the European crisis: a theorist's guide (2017) (6)
- Limits of Markets and Limits of Governments: An Introduction to a Symposium on Political Economy (2000) (5)
- Too Correlated to Fail (2014) (5)
- The simple analytics of commodity futures markets: do they stabilize prices? Do they raise welfare? (1990) (5)
- Labor contracts in a model of imperfect competition (1989) (4)
- Moral Hazard, Reputation, and Fragility in Credit Markets (2009) (4)
- Thoughts on the Federal Reserve System's Exit Strategy (2010) (4)
- The Heterogeneous State of Modern Macroeconomics: A Reply to Solow (2007) (4)
- Nobel laureate Robert E. Lucas, Jr.; architect of modern macroeconomics (1999) (4)
- Banking without Banking Panics or Deposit Insurance: Lessons from a Model of the U.S. National Banking System (1989) (4)
- Collapse of Reputation in Secondary Loan Markets (2009) (4)
- COMMENTS ON PAPERS BY JORDI GALÍ AND BY STEFANIA ALBANESI (2001) (4)
- The Role of Uncertainty and Risk in Climate Change Economics (2018) (3)
- What assets should banks be allowed to hold (2012) (3)
- Optimal fiscal policy in a stochastic growth model (technical appendix) (1991) (3)
- Federal Reserve Bank of Minneapolis Research Department Staff Report 328 Business Cycle Accounting * A. a Detailed Economy with Input-financing Frictions 2. Applying the Accounting Procedure (2004) (2)
- Comment on "Inflation Forecasts and Monetary Policy." (1997) (2)
- Thoughts on the Federal Reserve’s Exit Strategy, Economic Policy Paper (2010) (2)
- Inflation , Growth , and Financial (1997) (2)
- Optimal Cooperative Taxation in the Global Economy (2019) (2)
- Strategic Delegation in Monetary Unions (2004) (2)
- Linear Stochastic Models with Decentralized Information (1979) (2)
- Damage control? analyzing policies to repair credit markets (2010) (2)
- More on the Taxation of Capital∗ (2016) (1)
- Federal Reserve Bank of Minneapolis Research Department Sta § Report XXX January 2016 On the Optimality of Financial Repression (2016) (1)
- Optimal fiscal policy in a business cycle model (technical appendix) (1996) (1)
- Equilibrium Contracts in a Monetary Economy (1980) (1)
- Hysteresis in unemployment - comments (2008) (1)
- Discussion of Growth and Foreign Direct Investment: Does Policy Play a Role? (2004) (1)
- Layoffs and Unemployment Compensation as Social Instruments (1984) (1)
- Costly Intermediation and the Poverty of Nations1 (2003) (1)
- Efficiency and Adverse Selection: On the Desirability of Mutual Contracts (2016) (1)
- Comment on: "An empirical analysis of the economic impact of federal terrorism reinsurance" (2004) (1)
- A Proposal to Eliminate the Distortions Caused by Bailouts (2016) (0)
- Copyrights, Price Discrimination and Hidden Trading: Lessons from a Ricardian Theory of Innovation (2005) (0)
- American Economic Association Sudden Stops and Output Drops (2018) (0)
- Comment on Iovino, La’O and Mascarenhas, “Optimal Monetary Policy and Disclosure with an Informationally-Constrained Central Banker”. (2021) (0)
- Modern macroeconomics in practice: how theory is shaping monetary policy (2007) (0)
- Strategic Delegations in Monetary Unions (2004) (0)
- The Poverty of Nations: A Quantitative Investigation : Additional Files (1997) (0)
- Power Laws and the Mega-Idiosyncratic Origins of Aggregate Fluctuations Xavier (2004) (0)
- Too Correlated to Fail Anticipation of bailouts encourages banks to invest alike, making bailouts more probable and crises more severe (2014) (0)
- Spectral Methods in Business Cycle Accounting (2005) (0)
- By Daron Acemoglu, Michael Golosov, and Aleh Tsyvinski1 (2008) (0)
- Business Cycle Accounting : Additional Files (2006) (0)
- Federal Reserve Bank of Minneapolis Research Department Sophisticated Monetary Policies (2008) (0)
- Nobel Laureate Robert E. Lucas, Jr. (2020) (0)
- Notes on human capital, growth, and unemployment (1985) (0)
- Discussion of He, Huang, and Wright's 'Money and Banking in Search Equilibrium' (2005) (0)
- Sta ¤ Report November 2009 Bailouts , Time Inconsistency and Optimal Regulation (2010) (0)
- Online Appendix: Rethinking Optimal Currency Areas (2018) (0)
- Matching Human Capital and Displacement (1996) (0)
- Comment on Iovino, La'O and Mascarenhas, "Optimal Monetary Policy and Disclosure with an Informationally-Constrained Central Banker" (2021) (0)
- Accounting for the Great Depression : Additional Files (2002) (0)
- Financial Repression: Evidence and Theory Banks should be required to hold government debt at low interest rates only under limited conditions (2016) (0)
- Por qué las democracias representativas son fiscalmente irresponsables (1996) (0)
- Reputation and Sudden Collapse in Secondary Loan Markets (2010) (0)
- Notes on sequential oligopoly (1987) (0)
- Appreciated Notes On Strategic Delegation in Monetary Unions (1999) (0)
- Macroeconomic effects of fiscal policy A comment (1985) (0)
- Ramsey Taxation in the Open Economy (2018) (0)
- NEW PERSPECTIVES ON REPUTATION AND DEBT † Sudden Stops and Output Drops (2005) (0)
- Comment on "Credit Market Freezes" (2017) (0)
- Digitized by the Internet Archive in 2011 with Funding from Crises and Prices Crises and Prices (0)
- The "banks" we do need (2012) (0)
- VERY PRELIMINARY December 2002 Accounting for the Great Depression (2001) (0)
- THE INFLATION TAX AND GROWTH (1997) (0)
- Comment on Private Money (1999) (0)
- Central Bank Independence and Sovereign Default Narayana Kocherlakota President Federal Reserve Bank of Minneapolis Sovereign Debt Seminar Cme Group‐msri Prize in Innovative Quantitative Applications Chicago, Illinois (2011) (0)
- On the Fragility of Reputation in Financial Markets (2009) (0)
- Comment on "Pledgability and Liquidity: A New Monetarist Model of Financial and Macroeconomic Activity" (2013) (0)
- XXX August 2015 Rethinking Optimal Currency Areas (2015) (0)
- Analysis in Business Cycle Models (2009) (0)
- Reforming the European Monetary Union (2017) (0)
- Comment (2018) (0)
- Digitized by the Internet Archive in 2011 with Funding from Boston Library Consortium Iviember Libraries Working Paper Department of Economics \na Ge Inequatmr and Segrega Tion by Skill (2011) (0)
- Comments on “Hysteresis in Unemployment” by Laurence Ball (2009) (0)
- Price Stability and Futures Trading in Non-Storable Commodities (1990) (0)
- On the Ethics of Redistribution (2015) (0)
- Larry Ball’s The Fed and Lehman Brothers: A Review Essay (2022) (0)
- Fall 1988 Review Another Attempt to Explain an Illiquid Banking System : The Diamond and Dybvig Model With Sequential Service Taken Seriously (2012) (0)
- Comment on “Rule-Based Monetary Policy under Central Bank Learning” by Aoki and Nikolov (2006) (0)
- Unemployment today in Europe and Japan: Lessons from the U.S. Great Depression (1999) (0)
- NBER WORKING PAPER SERIES TIME INCONSISTENCY AND FREE-RIDING IN A MONETARY UNION (2002) (0)
- FINANCIAL RISK CAPACITY Saki Bigio (2014) (0)
- Comment on “Differences of Opinion in Financial Markets”, by Hal Varian (1988) (0)
- Reply to Solow (2007) (0)
- ADEMU WORKING PAPER SERIES Rethinking Optimal Currency Areas (2016) (0)
- Information and the business cycle (1981) (0)
- Commentary 2 on "Inflation, Growth, and Financial Intermediation" (1996) (0)
- Narayana Kocherlakota : Central bank independence and sovereign default (2011) (0)
- Research Department On the Robustness of Herds (2002) (0)
- Federal Reserve Bank of Minneapolis Research Department Business Cycle Accounting (2002) (0)
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