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Ross Levine

Global rank #354 99%

Institution: Hoover Institution on War Revolution

Primary Field: Finance (weighted toward more recent publications)

First Publication: 1989

Most Recent: 2025

RePEc ID: ple61 ↗

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 1.01 2.35 0.00 4.36
Last 10 Years 1.01 5.19 4.86 0.00 19.27
All Time 6.70 24.63 28.65 0.00 105.07

Publication Statistics

Raw Publications 68
Coauthorship-Adjusted Count 60.92

Publications (68)

Year Article Journal Tier Authors
2025 Do bank insiders impede equity issuances? Journal of Financial Intermediation B 3
2025 Environmental liabilities, borrowing costs, and pollution prevention activities: The nationwide impact of the Apex Oil ruling Journal of Corporate Finance B 4
2023 Does Competition Affect Bank Risk? Journal of Money, Credit, and Banking B 3
2021 Corporate immunity to the COVID-19 pandemic Journal of Financial Economics A 4
2021 Capital market financing and firm growth Journal of International Money and Finance B 4
2021 This time truly is different The Review of Financial Studies A 4
2020 Bank deregulation and corporate risk Journal of Corporate Finance B 4
2020 The African Slave Trade and Modern Household Finance Economic Journal A 3
2020 Communication within Banking Organizations and Small Business Lending The Review of Financial Studies A 4
2019 Competition and Bank Liquidity Creation Journal of Financial and Quantitative Analysis B 3
2018 Corporate Resilience to Banking Crises: The Roles of Trust and Trade Credit Journal of Financial and Quantitative Analysis B 3
2017 Smart and Illicit: Who Becomes an Entrepreneur and Do They Earn More? Quarterly Journal of Economics S 2
2017 Insider Trading and Innovation Journal of Law and Economics B 3
2016 The European origins of economic development Journal of Economic Growth A 2
2016 Does the geographic expansion of banks reduce risk? Journal of Financial Economics A 3
2016 Spare tire? Stock markets, banking crises, and economic recoveries Journal of Financial Economics A 3
2016 Competition and Bank Opacity The Review of Financial Studies A 3
2015 How firms use corporate bond markets under financial globalization Journal of Banking & Finance B 4
2015 Financial innovation and endogenous growth Journal of Financial Intermediation B 3
2013 The Evolving Importance of Banks and Securities Markets World Bank Economic Review B 3
2013 Identifying the Valuation Effects and Agency Costs of Corporate Diversification: Evidence from the Geographic Diversification of U.S. Banks The Review of Financial Studies A 3
2010 Big Bad Banks? The Winners and Losers from Bank Deregulation in the United States Journal of Finance A 3
2010 Financial Institutions and Markets across Countries and over Time: The Updated Financial Development and Structure Database World Bank Economic Review B 3
2010 Patterns of international capital raisings Journal of International Economics A 3
2009 Bank governance, regulation and risk taking Journal of Financial Economics A 2
2008 Special issue: Banking and bank regulation: Challenges for the future Journal of Financial Intermediation B 4
2008 Finance, Firm Size, and Growth Journal of Money, Credit, and Banking B 4
2008 Internationalization and the evolution of corporate valuation Journal of Financial Economics A 3
2008 Complex Ownership Structures and Corporate Valuations The Review of Financial Studies A 2
2007 Finance, inequality and the poor Journal of Economic Growth A 3
2007 Governance and bank valuation Journal of Financial Intermediation B 3
2007 Is there a diversification discount in financial conglomerates? Journal of Financial Economics A 2
2007 Migration, spillovers, and trade diversion: The impact of internationalization on domestic stock market activity Journal of Banking & Finance B 2
2006 Bank concentration, competition, and crises: First results Journal of Banking & Finance B 3
2006 Bank supervision and corruption in lending Journal of Monetary Economics A 3
2006 Internationalization and Stock Market Liquidity Review of Finance B 2
2005 SMEs, Growth, and Poverty: Cross-Country Evidence Journal of Economic Growth A 3
2004 Bank regulation and supervision: what works best? Journal of Financial Intermediation B 3
2004 Stock markets, banks, and growth: Panel evidence Journal of Banking & Finance B 2
2004 Aid, Policies, and Growth: Comment American Economic Review S 3
2003 Law, endowments, and finance Journal of Financial Economics A 3
2003 Tropics, germs, and crops: how endowments influence economic development Journal of Monetary Economics A 2
2002 Industry growth and capital allocation:*1: does having a market- or bank-based system matter? Journal of Financial Economics A 2
2002 International financial integration and economic growth Journal of International Money and Finance B 4
2002 Bank-Based or Market-Based Financial Systems: Which Is Better? Journal of Financial Intermediation B 1
2001 Legal Theories of Financial Development Oxford Review of Economic Policy C 3
2001 International Financial Liberalization and Economic Growth Review of International Economics B 1
2001 The impact of inflation on financial sector performance Journal of Monetary Economics A 3
2001 It's Not Factor Accumulation: Stylized Facts and Growth Models World Bank Economic Review B 2
2000 Finance and the sources of growth Journal of Financial Economics A 3
2000 Financial intermediation and growth: Causality and causes Journal of Monetary Economics A 3
2000 A New Database on the Structure and Development of the Financial Sector World Bank Economic Review B 3
1999 Law, Finance, and Economic Growth Journal of Financial Intermediation B 1
1998 Stock Markets, Banks, and Economic Growth. American Economic Review S 2
1998 Capital Control Liberalization and Stock Market Development World Development B 2
1997 Africa's Growth Tragedy: Policies and Ethnic Divisions Quarterly Journal of Economics S 2
1996 Stock Markets, Corporate Finance, and Economic Growth: An Overview. World Bank Economic Review B 2
1996 Stock Market Development and Financial Intermediaries: Stylized Facts. World Bank Economic Review B 2
1996 Stock Market Development and Long-Run Growth. World Bank Economic Review B 2
1994 Finance and development: Issues and experience : Alberto Giovannini, ed (Cambridge university press, New York, 1993) pp. ix+436, $49.50 Journal of International Economics A 1
1993 Finance, entrepreneurship and growth: Theory and evidence Journal of Monetary Economics A 2
1993 What We Have Learned about Policy and Growth from Cross-Country Regressions? American Economic Review S 2
1993 Old debts and new beginnings: A policy choice in transitional socialist economies World Development B 2
1993 Finance and Growth: Schumpeter Might Be Right Quarterly Journal of Economics S 2
1992 A Sensitivity Analysis of Cross-Country Growth Regressions. American Economic Review S 2
1991 Stock Markets, Growth, and Tax Policy. Journal of Finance A 1
1991 An empirical inquiry into the nature of the forward exchange rate bias Journal of International Economics A 1
1989 The pricing of forward exchange rates Journal of International Money and Finance B 1