Outside Journals
Members of the Research and Statistics Group publish in a wide range of economic and finance journals, conference volumes, and scholarly books.
Browse outside journals:
 
2020

Macroeconomics and Growth

Sushant Acharya
“Rational Inattention in Hiring Decisions,” with Shu Lin Wee. American Economic Journal: Macroeconomics 12, no. 1 (January): 1-40.
Daniel Lewis
“U.S. Economic Activity During the Early Weeks of the SARS-Cov-2 Outbreak,” with James Stock and Karel Mertens. COVID Economics 6 (April): 1-21.
Maxim L. Pinkovskiy
“Shining a Light on Purchasing Power Parities,” with Xavier Sala-i-Martin. American Economic Journal: Macroeconomics 12, no. 4 (October): 71-108.

International

Linda S. Goldberg
“The Shifting Drivers of Global Liquidity,” with Stefan Avdjiev, Leonardo Gambacorta, and Stefano Schiaffi. Journal of International Economics 125 (July): 103324.
Sebastian Heise
Discussion of "Should Germany Have Built a New Wall?," with Tommaso Porizo. Journal of Monetary Economics Comments (Refereed) 113 (August): 56-60.

Microeconomics

Maxim L. Pinkovskiy
“The Impact of the Managed Care Backlash on Health Care Spending,” Rand Journal of Economics 51, no. 1 (March): 59-108.

Banking and Finance

Matteo Crosignani
“The (Unintended?) Consequences of the Largest Liquidity Injection Ever,” with Miguel Faria-e-Castro and Luís Fonseca. Journal of Monetary Economics 112 (June): 97-112.
Richard K. Crump
“Characteristic-Sorted Portfolios: Estimation and Inference,” with Matias D. Cattaneo, Max H. Farrell, and Ernst Schaumburg. Review of Economics and Statistics 102, no. 3 (July): 531-51.
Fernando Duarte
“Time-Varying Inflation Risk and Stock Returns,” with Martijn Boons, Frans de Roon, and Marta Szymanowska. Journal of Financial Economics 136, no. 2 (May): 444-70.
Michael J. Fleming
“Liquidity and Volatility in the U.S. Treasury Market,” with Giang Nguyen, Robert Engle, and Eric Ghysels. Journal of Econometrics 217, no. 2 (August) 207-29.
Beverly Hirtle, Anna Kovner, and Matthew Plosser
“The Impact of Supervision on Bank Performance,” Journal of Finance 75, no. 5 (October): 2765-808.
Stephan Luck
“Employment Effects of Unconventional Monetary Policy: Evidence from QE,” with Tom Zimmermann. Journal of Financial Economics 135, no. 3 (March): 678-703.
“Did QE Lead to Lax Bank Lending Standards? Evidence from the Federal Reserve's LSAPs,” with Robert Kurtzman and Tom Zimmermann. Journal of Banking and Finance 138 (May): 105403.
Antoine Martin
“Can the U.S. Interbank Market Be Revived?,” with Kyungmin Kim and Ed Nosal. Journal of Money, Credit, and Banking 52, no.7 (October): 1645-89.

Quantitative Methods

Pablo Azar
“Endogenous Production Networks,” with Daron Acemoglu. Econometrica 88, no. 1 (January): 33-82.
Keshav Dogra and Sushant Acharya
“Understanding HANK: Insights from a PRANK,” Econometrica 88, no. 3 (May): 1113-58.
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