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Barry Eichengreen

Global rank #127 99%

Institution: University of California-Berkeley

Primary Field: International (weighted toward more recent publications)

First Publication: 1980

Most Recent: 2025

RePEc ID: pei2 ↗

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 4.09 4.93 0.00 14.78
Last 10 Years 0.00 4.09 12.47 0.00 22.66
All Time 10.05 16.49 80.07 0.00 160.63

Publication Statistics

Raw Publications 93
Coauthorship-Adjusted Count 121.88

Publications (93)

Year Article Journal Tier Authors
2025 Corruption exposure, political trust, and immigrants Journal of Development Economics A 5
2024 The Political Scar of Epidemics Economic Journal A 3
2024 Sustained Debt Reduction: The Jamaica Exception Brookings Papers on Economic Activity B 3
2024 Economic resilience: Why some countries recover more robustly than others from shocks Economic Modeling C 3
2024 Geopolitics and the global economy Journal of International Money and Finance B 1
2024 Sanctions and the exchange rate in time Economic Policy B 5
2023 Gold as international reserves: A barbarous relic no more? Journal of International Economics A 3
2023 Technology and the geography of the foreign exchange market Journal of International Money and Finance B 4
2023 Lessons from the 1970s for international monetary reform Oxford Review of Economic Policy C 1
2022 Epidemic Exposure, Financial Technology, and the Digital Divide Journal of Money, Credit, and Banking B 3
2022 Trends in Monetary Policy Transparency: Further Updates International Journal of Central Banking B 3
2022 Imported or home grown? The 1992–3 EMS crisis Journal of International Economics A 2
2022 The stealth erosion of dollar dominance and the rise of nontraditional reserve currencies Journal of International Economics A 3
2021 Revenge of the experts: Will COVID-19 renew or diminish public trust in science? Journal of Public Economics A 3
2021 Will Brexit Age Well? Cohorts, Seasoning and the Age–Leave Gradient: On the Evolution of UK Support for the European Union Economica C 3
2020 Aftershocks of monetary unification: Hysteresis with a financial twist Journal of Banking & Finance B 2
2020 The correlates of international financial‐center status Review of International Economics B 2
2019 Capitalism in America: A History. By Alan Greenspan and Adrian Wooldridge. New York: Penguin Press, 2018. Pp. 496. $22.48, hardcover. - Keeping At It: The Quest for Sound Money and Good Government. By Paul Volcker with Christine Harper. New York: Public Affairs, 2018. Pp. 304. $18.30, hardcover. Journal of Economic History B 1
2019 Concluding remarks Journal of International Money and Finance B 1
2019 Mars or Mercury? The geopolitics of international currency choice Economic Policy B 4
2016 A surplus of ambition: can Europe rely on large primary surpluses to solve its debt problem? Economic Policy B 2
2016 Network effects, homogeneous goods and international currency choice: New evidence on oil markets from an older era Canadian Journal of Economics C 3
2015 Mutual Assistance between Federal Reserve Banks: 1913–1960 as Prolegomena to the TARGET2 Debate Journal of Economic History B 4
2015 Secular Stagnation: The Long View American Economic Review S 1
2015 Effects of renminbi appreciation on foreign firms: The role of processing exports Journal of Development Economics A 2
2014 When did the dollar overtake sterling as the leading international currency? Evidence from the bond markets Journal of Development Economics A 3
2014 History, gravity and international finance Journal of International Money and Finance B 3
2014 A forensic analysis of global imbalances Oxford Economic Papers C 3
2014 Central Bank Transparency and Independence: Updates and New Measures International Journal of Central Banking B 2
2014 Methodology of economic history as an approach to assessing monetary policy Journal of Economic Dynamics and Control B 1
2014 Capital Controls in the 21st Century Journal of International Money and Finance B 2
2013 Political Extremism in the 1920s and 1930s: Do German Lessons Generalize? Journal of Economic History B 3
2013 The financial crisis and Indian banks: Survival of the fittest? Journal of International Money and Finance B 2
2013 The two waves of service-sector growth Oxford Economic Papers C 2
2012 The structure of housing finance markets and house prices in Asia Economic Policy B 3
2012 International Liquidity in a Multipolar World American Economic Review S 1
2012 Economic History and Economic Policy Journal of Economic History B 1
2012 Financial crises and the multilateral response: What the historical record shows Journal of International Economics A 3
2012 How the Subprime Crisis went global: Evidence from bank credit default swap spreads Journal of International Money and Finance B 4
2011 Capital account liberalization, financial development and industry growth: A synthetic view Journal of International Money and Finance B 3
2010 The collapse of global trade: The role of vertical specialization Economic Policy B 5
2010 The Slide to Protectionism in the Great Depression: Who Succumbed and Why? Journal of Economic History B 2
2010 Fetters of gold and paper Oxford Review of Economic Policy C 2
2007 Can a rapidly growing export-oriented economy exit smoothly from a currency peg? Lessons from Japan's high-growth era Explorations in Economic History B 2
2007 Comment on Cheung, Chinn and Fujii, "The Overvaluation of Renminbi Undervaluation" Journal of International Money and Finance B 1
2006 The Parallel-Currency Approach to Asian Monetary Integration American Economic Review S 1
2006 The IMF in a world of private capital markets Journal of Banking & Finance B 3
2006 ‘How taxing is corruption on international investors’ Economic Policy B 2
2004 Productivity Growth, the New Economy, and Catching Up Review of International Economics B 1
2004 Viewpoint: Understanding the Great Depression Canadian Journal of Economics C 1
2003 Is Aggregation a Problem for Sovereign Debt Restructuring? American Economic Review S 2
2003 Three generations of crises, three generations of crisis models Journal of International Money and Finance B 1
2001 Is the crisis problem growing more severe? Economic Policy B 4
2001 Capital Account Liberalization: What Do Cross-Country Studies Tell Us? World Bank Economic Review B 1
2000 Lending booms, reserves and the sustainability of short-term debt: inferences from the pricing of syndicated bank loans Journal of Development Economics A 2
2000 Taming Capital Flows World Development B 1
1999 Institutions and Economic Performance: Evidence from the Labour Market. Oxford Review of Economic Policy C 2
1998 Exchange rate volatility and intervention: implications of the theory of optimum currency areas Journal of International Economics A 2
1998 The Stability Pact: more than a minor nuisance? Economic Policy B 2
1998 European Monetary Unification: A Tour d'Horizon. Oxford Review of Economic Policy C 1
1996 Federalism, Fiscal Restraints, and European Monetary Union. American Economic Review S 2
1996 The Bretton-Woods-GATT System: Retrospect and Prospect After Fifty Years. Edited by Orin Kirschner. Armounk, NY: M. E. Sharpe for the Institute for Agriculture and Trade Policy, 1996. Pp. xiii, 321. Journal of Economic History B 1
1995 Britain and the Sterling Area: From Devaluation to Convertibility in the 1950s. By Catherine R. Schenk. London:Routledge, pp.165. $65.00. Journal of Economic History B 1
1995 Trade blocs, currency blocs and the reorientation of world trade in the 1930s Journal of International Economics A 2
1994 Monetary and exchange rate arrangements for NAFTA Journal of Development Economics A 2
1994 The political economy of fiscal restrictions: Implications for Europe from the United States European Economic Review B 2
1994 Institutional prerequisites for economic growth: Europe after World War II European Economic Review B 1
1993 The Unstable EMS Brookings Papers on Economic Activity B 2
1993 EMU after Maastricht : Peter B. Kenen, (Group of Thirty, New York, 1992) pp. 123 Journal of International Economics A 1
1992 More speculation on destabilizing speculation Explorations in Economic History B 1
1991 Protectionism and Economic Revival: The British Interwar Economy. By Michael Kitson and Solomos Solomou. Cambridge: Cambridge University Press, 1990. Pp. xi 123. $44.50. Journal of Economic History B 1
1990 Money, History, and International Finance: Essays in Honor of Anna J. Schwartz. Edited by Michael D. Bordo. Chicago: University of Chicago Press, 1989. Pp. xi, 272. $35.00. Journal of Economic History B 1
1988 Discussion of Schubert, Galassi, and Miller Journal of Economic History B 1
1988 Trade Wars: The Theory and Practice of International Commercial Rivalry. By John A. C. Conybeare. New York: Columbia University Press, 1987. Pp. xv, 319. $35.00. Journal of Economic History B 1
1988 Real exchange rate behavior under alternative international monetary regimes : Interwar evidence European Economic Review B 1
1987 Conducting the international orchestra: Bank of England leadership under the classical gold standard Journal of International Money and Finance B 1
1987 Unemployment in Interwar Britain: Dole or Doldrums? Oxford Economic Papers C 1
1986 The Earnings of Skilled and Unskilled Immigrants at the End of the Nineteenth Century Journal of Economic History B 2
1986 Competitive devaluation and the Great Depression : A theoretical reassessment Economics Letters C 2
1986 Debt and default in the 1930s : Causes and consequences European Economic Review B 2
1986 'The Belmont-Morgan Syndicate as an optimal investment banking contract' by Peter M. Garber and Vittorio U. Grilli European Economic Review B 1
1986 The bank of France and the sterilization of gold, 1926-1932 Explorations in Economic History B 1
1986 The 1985 Publications of the International Finance Section of Princeton University Journal of International Economics A 1
1985 The Economics of John Hicks. Selected with an introduction by Dieter Helm. New York: Basil Blackwell. 1984. Pp. 304. $10.95 paper. Journal of Economic History B 1
1985 Exchange Rates and Economic Recovery in the 1930s Journal of Economic History B 2
1984 Mortgage Interest Rates in the Populist Era. American Economic Review S 1
1984 Keynes and Protection Journal of Economic History B 1
1984 Central bank cooperation under the interwar gold standard Explorations in Economic History B 1
1983 Effective protection and exchange-rate determination Journal of International Money and Finance B 1
1982 The Proximate Determinants of Domestic Investment in Victorian Britain Journal of Economic History B 1
1982 Did speculation destabilize the French Franc in the 1920s? Explorations in Economic History B 1
1981 A dynamic model of tariffs, output and employment under flexible exchange rates Journal of International Economics A 1
1980 Britain in the Age of Economic Management: An Economic History since 1939. By J. F. Wright. Oxford, New York, Toronto, Melbourne: Oxford University Press, 1980. Pp. 196. $16.95 cloth, $7.95 paper. Journal of Economic History B 1