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Joshua Aizenman

Global rank #142 99%

Institution: University of Southern California

Primary Field: International (weighted toward more recent publications)

Homepage: http://www.nber.org/people/joshua_aizenman

First Publication: 1981

Most Recent: 2024

RePEc ID: pai8 ↗

Publication Scores

Scores use coauthorship adjustment: α/n credit per paper, where n = number of authors. α = 2.01: calibrated so average adjusted count equals average raw count (a zero-sum adjustment).

Period S (4x) A (2x) B (1x) C (½x) Total
Last 5 Years 0.00 0.00 4.06 0.00 5.04
Last 10 Years 0.00 0.50 10.76 0.00 13.76
All Time 5.03 38.71 54.66 0.00 156.36

Publication Statistics

Raw Publications 93
Coauthorship-Adjusted Count 107.20

Publications (93)

Year Article Journal Tier Authors
2024 Real exchange rate and international reserves in the era of financial integration Journal of International Money and Finance B 5
2024 The performance of emerging markets during the Fed’s easing and tightening cycles: A cross-country resilience analysis Journal of International Money and Finance B 5
2024 Monetary and fiscal policy challenges in emerging markets amid elevated uncertainty Journal of International Money and Finance B 5
2023 Post COVID‐19 exit strategies and emerging markets economic challenges Review of International Economics B 2
2023 On the effectiveness of foreign exchange reserves during the 2021-22 U.S. monetary tightening cycle Economics Letters C 4
2022 Gaps between official and excess Covid-19 mortality measures: The effects of institutional quality and vaccinations Economic Modeling C 5
2022 Central bank swap arrangements in the COVID-19 crisis Journal of International Money and Finance B 3
2022 An introduction to the special issue “Financial globalization and de-globalization: Perspectives and prospects” Journal of International Money and Finance B 3
2021 Emerging markets sovereign CDS spreads during COVID-19: Economics versus epidemiology news Economic Modeling C 3
2021 Good-bye original sin, hello risk on-off, financial fragility, and crises? Journal of International Money and Finance B 4
2021 Pandemic shocks and fiscal-monetary policies in the Eurozone: COVID-19 dominance during January–June 2020 Oxford Economic Papers C 5
2020 Hoarding for stormy days—Test of international reserves adjustment providing financial buffer stock services Review of International Economics B 2
2020 The currency composition of international reserves, demand for international reserves, and global safe assets Journal of International Money and Finance B 3
2020 Overview: Global safe assets, international reserves, and capital flow Journal of International Money and Finance B 2
2019 A modern reincarnation of Mundell-Fleming's trilemma Economic Modeling C 1
2018 Domestic and multilateral effects of capital controls in emerging markets Journal of International Economics A 4
2018 Chinese outwards mercantilism – The art and practice of bundling Journal of International Money and Finance B 3
2017 Balance sheet effects on monetary and financial spillovers: The East Asian crisis plus 20 Journal of International Money and Finance B 3
2016 Exchange market pressure in OECD and emerging economies: Domestic vs. external factors and capital flows in the old and new normal Journal of International Money and Finance B 2
2016 Monetary policy spillovers and the trilemma in the new normal: Periphery country sensitivity to core country conditions Journal of International Money and Finance B 3
2016 repec:ijc:ijcjou:y:2016:q:2:a:7 International Journal of Central Banking B 2
2015 International reserves before and after the global crisis: Is there no end to hoarding? Journal of International Money and Finance B 3
2014 Real estate valuation, current account and credit growth patterns, before and after the 2008–9 crisis Journal of International Money and Finance B 2
2014 Living with the trilemma constraint: Relative trilemma policy divergence, crises, and output losses for developing countries Journal of International Money and Finance B 2
2014 Asset Class Diversification and Delegation of Responsibilities between a Central Bank of Sovereign Wealth Fund International Journal of Central Banking B 2
2013 The “Impossible Trinity” Hypothesis in an Era of Global Imbalances: Measurement and Testing Review of International Economics B 3
2013 Managing Financial Integration and Capital Mobility—Policy Lessons from the Past Two Decades Review of International Economics B 2
2013 What is the risk of European sovereign debt defaults? Fiscal space, CDS spreads and market pricing of risk Journal of International Money and Finance B 3
2013 Macroeconomic adjustment and the history of crises in open economies Journal of International Money and Finance B 2
2013 Why do emerging markets liberalize capital outflow controls? Fiscal versus net capital flow concerns Journal of International Money and Finance B 2
2013 Credit ratings and the pricing of sovereign debt during the euro crisis Oxford Review of Economic Policy C 3
2012 Exchange market pressure and absorption by international reserves: Emerging markets and fear of reserve loss during the 2008–2009 crisis Journal of International Money and Finance B 2
2012 Overview of the special issue on “Policy Implications of and Lessons from the Global Financial Crisis” Journal of International Money and Finance B 3
2012 Adjustment patterns to commodity terms of trade shocks: The role of exchange rate and international reserves policies Journal of International Money and Finance B 3
2011 Capital market imperfections and the theory of optimum currency areas Journal of International Money and Finance B 2
2011 Hoarding international reserves versus a Pigovian tax-cum-subsidy scheme: Reflections on the deleveraging crisis of 2008-2009, and a cost benefit analysis Journal of Economic Dynamics and Control B 1
2011 Inflation Targeting and Real Exchange Rates in Emerging Markets World Development B 3
2011 The life cycle of scholars and papers in economics - the 'citation death tax' Applied Economics C 2
2010 Aid volatility and poverty traps Journal of Development Economics A 2
2010 The emerging global financial architecture: What's new and what's old? Journal of International Money and Finance B 3
2010 The emerging global financial architecture: Tracing and evaluating new patterns of the trilemma configuration Journal of International Money and Finance B 3
2009 Understanding Global Liquidity in a Volatile World Review of International Economics B 3
2009 Sterilization, Monetary Policy, and Global Financial Integration Review of International Economics B 2
2009 Current account patterns and national real estate markets Journal of Urban Economics A 2
2008 External Shocks, Bank Lending Spreads, and Output Fluctuations* Review of International Economics B 3
2008 Globalization and Taste Convergence: the Cases of Wine and Beer Review of International Economics B 2
2008 On the hidden links between financial and trade opening Journal of International Money and Finance B 1
2008 Real Exchange Rate and International Reserves in an Era of Growing Financial and Trade Integration Review of Economics and Statistics A 2
2008 Pegged Exchange Rate Regimes—A Trap? Journal of Money, Credit, and Banking B 2
2007 Overview of conference volume "Financial and Commercial Integrations" Journal of International Money and Finance B 3
2007 Sources for financing domestic capital - Is foreign saving a viable option for developing countries? Journal of International Money and Finance B 3
2007 Prizes for basic research: Human capital, economic might and the shadow of history Journal of Economic Growth A 2
2006 Institutional Efficiency, Monitoring Costs and the Investment Share of FDI* Review of International Economics B 2
2005 Opposition to FDI and financial shocks Journal of Development Economics A 1
2004 Savings and the terms of trade under borrowing constraints Journal of International Economics A 2
2004 The credit crunch in East Asia: what can bank excess liquid assets tell us? Journal of International Money and Finance B 3
2004 Financial Opening and Development: Evidence and Policy Controversies American Economic Review S 1
2004 The merits of horizontal versus vertical FDI in the presence of uncertainty Journal of International Economics A 2
2004 Endogenous pricing to market and financing costs Journal of Monetary Economics A 1
2003 Capital Mobility In A Second–Best World: Moral Hazard With Costly Financial Intermediation Review of International Economics B 1
2003 Volatility, employment and the patterns of FDI in emerging markets Journal of Development Economics A 1
2003 Volatility and financial intermediation Journal of International Money and Finance B 2
2003 Overview of conference volume "Regional and International Implications of the Financial Instability in Latin America" Journal of International Money and Finance B 2
2000 The impact of inflation on budgetary discipline Journal of Development Economics A 2
1999 Macroeconomic adjustment with segmented labor markets Journal of Development Economics A 2
1999 Volatility and Investment: Interpreting Evidence from Developing Countries Economica C 2
1998 The political economy of public savings and the role of capital mobility Journal of Development Economics A 2
1998 Buffer stocks and precautionary savings with loss aversion Journal of International Money and Finance B 1
1997 Technological change, relative wages, and unemployment European Economic Review B 2
1997 Investment in new activities and the welfare cost of uncertainty Journal of Development Economics A 1
1994 Capital controls, collection costs and domestic public debt Journal of International Money and Finance B 2
1993 Policy Uncertainty, Persistence and Growth. Review of International Economics B 2
1993 Externalities, incentives, and failure to achieve national objectives in decentralized economies Journal of Development Economics A 2
1993 Macroeconomic uncertainty and private investment Economics Letters C 3
1992 Trade reforms, credibility, and development Journal of Development Economics A 1
1991 Trade dependency, bargaining and external debt Journal of International Economics A 1
1990 External debt, planning horizon, and distorted credit markets Journal of International Money and Finance B 1
1989 Market power and exchange rate adjustment in the presence of quotas Journal of International Economics A 1
1989 Monopolistic competition, relative prices, and output adjustment in the open economy Journal of International Money and Finance B 1
1988 Sectorial wages and the real exchange rate Journal of International Economics A 2
1986 Targeting rules for monetary policy Economics Letters C 2
1986 Testing deviations from purchasing power parity Journal of International Money and Finance B 1
1985 Optimal Wage Indexation, Foreign Exchange Intervention, and Monetary Policy. American Economic Review S 2
1985 Adjustment to monetary policy and devaluation under two-tier and fixed exchange rate regimes Journal of Development Economics A 1
1985 Tariff liberalization policy and financial restrictions Journal of International Economics A 1
1985 Openness, relative prices, and macro-policies Journal of International Money and Finance B 1
1985 Wage Flexibility and Openness Quarterly Journal of Economics S 1
1984 Optimal wage re-negotiation in a closed and open economy Journal of Monetary Economics A 1
1983 Dynamics of trade liberalization policy Journal of Development Economics A 1
1983 A theory of current account and exchange rate determinations European Economic Review B 1
1982 Aspects of the optimal management of exchange rates Journal of International Economics A 2
1981 Devaluation and liberalization in the presence of tariff and quota restrictions : An equilibrium model Journal of International Economics A 1
1981 The use of the balance of payments as a shock absorber in fixed rate and managed float systems Journal of International Economics A 1