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Mark Gertler

Global rank #329 99%

Institution: New York University (NYU)

Primary Field: Macro (weighted toward more recent publications)

Homepage: http://www.econ.nyu.edu/user/gertlerm/

First Publication: 1979

Most Recent: 2020

RePEc ID: pge11 ↗

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 0.00 0.00 0.00
Last 10 Years 2.01 0.50 0.67 0.00 9.72
All Time 15.42 12.90 16.76 0.00 104.73

Publication Statistics

Raw Publications 45
Coauthorship-Adjusted Count 46.28

Publications (45)

Year Article Journal Tier Authors
2020 A Macroeconomic Model with Financial Panics Review of Economic Studies S 3
2020 Unemployment Fluctuations, Match Quality, and the Wage Cyclicality of New Hires Review of Economic Studies S 3
2020 Credit Booms, Financial Crises, and Macroprudential Policy Review of Economic Dynamics B 3
2019 Endogenous Technology Adoption and R&D as Sources of Business Cycle Persistence American Economic Journal: Macroeconomics A 4
2016 Anticipated Banking Panics American Economic Review S 3
2015 Banking, Liquidity, and Bank Runs in an Infinite Horizon Economy American Economic Review S 2
2015 Monetary Policy Surprises, Credit Costs, and Economic Activity American Economic Journal: Macroeconomics A 2
2015 Introduction to the special issue on money, credit, and financial frictions Review of Economic Dynamics B 2
2013 QE 1 vs. 2 vs. 3. . . : A Framework for Analyzing Large-Scale Asset Purchases as a Monetary Policy Tool International Journal of Central Banking B 2
2012 Financial crises, bank risk exposure and government financial policy Journal of Monetary Economics A 3
2011 A model of unconventional monetary policy Journal of Monetary Economics A 2
2010 Commentary: Banking Crises and Real Activity: Identifying the Linkages International Journal of Central Banking B 1
2010 Macroeconomics in the Wake of the Financial Crisis Journal of Money, Credit, and Banking B 1
2009 Unemployment Fluctuations with Staggered Nash Wage Bargaining Journal of Political Economy S 2
2008 A Phillips Curve with an Ss Foundation Journal of Political Economy S 2
2008 An Estimated Monetary DSGE Model with Unemployment and Staggered Nominal Wage Bargaining Journal of Money, Credit, and Banking B 3
2007 Markups, Gaps, and the Welfare Costs of Business Fluctuations Review of Economics and Statistics A 3
2007 External Constraints on Monetary Policy and the Financial Accelerator Journal of Money, Credit, and Banking B 3
2006 Medium-Term Business Cycles American Economic Review S 2
2005 Robustness of the estimates of the hybrid New Keynesian Phillips curve Journal of Monetary Economics A 3
2003 Erratum to "European inflation dynamics": [European Economic Review 45 (2001), 1237-1270] European Economic Review B 3
2002 A simple framework for international monetary policy analysis Journal of Monetary Economics A 3
2001 Should Central Banks Respond to Movements in Asset Prices? American Economic Review S 2
2001 Optimal Monetary Policy in Open versus Closed Economies: An Integrated Approach American Economic Review S 3
2001 European inflation dynamics European Economic Review B 3
2000 Monetary Policy Rules and Macroeconomic Stability: Evidence and Some Theory Quarterly Journal of Economics S 3
1999 "Overreaction" of Asset Prices in General Equilibrium Review of Economic Dynamics B 2
1999 Inflation dynamics: A structural econometric analysis Journal of Monetary Economics A 2
1999 The Information in the High-Yield Bond Spread for the Business Cycle: Evidence and Some Implications. Oxford Review of Economic Policy C 2
1998 Monetary policy rules in practice Some international evidence European Economic Review B 3
1997 Systematic Monetary Policy and the Effects of Oil Price Shocks Brookings Papers on Economic Activity B 3
1996 The Financial Accelerator and the Flight to Quality. Review of Economics and Statistics A 3
1994 Monetary Policy, Business Cycles, and the Behavior of Small Manufacturing Firms Quarterly Journal of Economics S 2
1993 The cyclical behavior of short-term business lending: Implications for financial propagation mechanisms European Economic Review B 2
1992 Financial Capacity and Output Fluctuations in an Economy with Multi-Period Financial Relationships Review of Economic Studies S 1
1991 Asset returns with transactions costs and uninsured individual risk Journal of Monetary Economics A 2
1990 Financial Fragility and Economic Performance Quarterly Journal of Economics S 2
1990 North-South lending and endogenous domestic capital market inefficiencies Journal of Monetary Economics A 2
1989 Agency Costs, Net Worth, and Business Fluctuations. American Economic Review S 2
1985 The backing of government bonds and monetarism Journal of Monetary Economics A 2
1982 Monetary randomness and investment Journal of Monetary Economics A 2
1982 Imperfect Information and Wage Inertia in the Business Cycle. Journal of Political Economy S 1
1981 Long-term contracts, imperfect information, and monetary policy Journal of Economic Dynamics and Control B 1
1979 Imperfect price adjustment and the optimal assignment of monetary and fiscal policies Journal of Economic Dynamics and Control B 1
1979 Money, prices, and inflation in macroeconomic models with rational inflationary expectations Journal of Economic Theory A 1