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Maurice Obstfeld

Global rank #44 99%

Institution: University of California-Berkeley

Primary Field: International (weighted toward more recent publications)

Homepage: http://mauriceobstfeld.com

First Publication: 1980

Most Recent: 2025

RePEc ID: pob13 ↗

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 0.67 8.04 0.00 11.39
Last 10 Years 0.00 2.85 12.07 0.00 19.77
All Time 24.80 24.97 51.68 0.00 202.83

Publication Statistics

Raw Publications 68
Coauthorship-Adjusted Count 105.92

Publications (68)

Year Article Journal Tier Authors
2025 The US Trade Deficit: Myths and Realities Brookings Papers on Economic Activity B 1
2024 Economic multilateralism 80 years after Bretton Woods Oxford Review of Economic Policy C 1
2022 The Global Dollar Cycle Brookings Papers on Economic Activity B 2
2021 Covered interest parity deviations: Macrofinancial determinants Journal of International Economics A 3
2021 Two challenges from globalization Journal of International Money and Finance B 1
2021 Reprint: Two challenges from globalization Journal of International Money and Finance B 1
2021 ‘International Financial Regulation: Why It Still Falls Short’ Oxford Review of Economic Policy C 1
2021 Revisiting speculative hyperinflations in monetary models Review of Economic Dynamics B 2
2020 Global Dimensions of U.S. Monetary Policy International Journal of Central Banking B 1
2019 A Tie That Binds: Revisiting the Trilemma in Emerging Market Economies Review of Economics and Statistics A 3
2018 In Search of the Armington Elasticity Review of Economics and Statistics A 4
2016 The Euro and the Geography of International Debt Flows Journal of the European Economic Association A 2
2016 The Initial Economic Impact of Brexit: An Update to Early December 2016 Brookings Papers on Economic Activity B 1
2014 Guest Editors’ Preface to the Special Issue on International Financial Linkages and Crises Scandanavian Journal of Economics B 5
2014 On the use of open economy new Keynesian models to evaluate policy rules Journal of Economic Dynamics and Control B 1
2012 Stories of the Twentieth Century for the Twenty-First American Economic Journal: Macroeconomics A 2
2012 Does the Current Account Still Matter? American Economic Review S 1
2012 Financial flows, financial crises, and global imbalances Journal of International Money and Finance B 1
2010 Financial Stability, the Trilemma, and International Reserves American Economic Journal: Macroeconomics A 3
2010 The immoderate world economy Journal of International Money and Finance B 1
2009 Financial Instability, Reserves, and Central Bank Swap Lines in the Panic of 2008 American Economic Review S 3
2008 Monetary policy in the open economy revisited: The case for exchange-rate flexibility restored Journal of International Money and Finance B 2
2005 The Case for Open-Market Purchases in a Liquidity Trap American Economic Review S 2
2005 Global Current Account Imbalances and Exchange Rate Adjustments Brookings Papers on Economic Activity B 2
2005 Comment on: "Rational speculation and exchange rates" Journal of Monetary Economics A 1
2005 The Trilemma in History: Tradeoffs Among Exchange Rates, Monetary Policies, and Capital Mobility Review of Economics and Statistics A 3
2004 Monetary and Fiscal Remedies for Deflation American Economic Review S 2
2002 Inflation-Targeting, Exchange-Rate Pass-Through, and Volatility American Economic Review S 1
2002 Global Implications of Self-Oriented National Monetary Rules Quarterly Journal of Economics S 2
2000 New directions for stochastic open economy models Journal of International Economics A 2
1998 Open‐Economy Macroeconomics: Developments in Theory and Policy Scandanavian Journal of Economics B 1
1998 repec:bla:scandj:v:100:y:1998:i:1:p:247-75 Scandanavian Journal of Economics B 1
1998 A strategy for launching the Euro European Economic Review B 1
1998 Regional non-adjustment and fiscal policy Economic Policy B 2
1997 Europe's Gamble Brookings Papers on Economic Activity B 1
1997 Destabilizing effects of exchange-rate escape clauses Journal of International Economics A 1
1996 Models of currency crises with self-fulfilling features European Economic Review B 1
1996 Intertemporal price speculation and the optimal current-account deficit: reply and clarification Journal of International Money and Finance B 1
1995 Intenational Currency Experience: New Lessons and Lessons Relearned Brookings Papers on Economic Activity B 1
1995 Exchange Rate Dynamics Redux. Journal of Political Economy S 2
1994 Risk-Taking, Global Diversification, and Growth. American Economic Review S 1
1994 Evaluating risky consumption paths: The role of intertemporal substitutability European Economic Review B 1
1992 International Adjustment with Habit-Forming Consumption: A Diagrammatic Exposition. Review of International Economics B 1
1992 International risk sharing and capital mobility: another look Journal of International Money and Finance B 1
1991 Commodity trade and international risk sharing : How much do financial markets matter? Journal of Monetary Economics A 2
1991 Intrinsic Bubbles: The Case of Stock Prices. American Economic Review S 2
1991 Exchange-rate dynamics under stochastic regime shifts : A unified approach Journal of International Economics A 2
1991 A model of currency depreciation and the debt-inflation spiral Journal of Economic Dynamics and Control B 1
1990 Intertemporal dependence, impatience, and dynamics Journal of Monetary Economics A 1
1989 Fiscal deficits and relative prices in a growing world economy Journal of Monetary Economics A 1
1988 The advantage of tying one's hands: EMS discipline and Central Bank credibility : Francesco Giavazzi and Marco Pagano European Economic Review B 1
1986 Rational and Self-fulfilling Balance-of-Payments Crises. American Economic Review S 1
1986 Capital controls, the dual exchange rate, and devaluation Journal of International Economics A 1
1986 Ruling out divergent speculative bubbles Journal of Monetary Economics A 2
1985 Floating Exchange Rates: Experience and Prospects Brookings Papers on Economic Activity B 1
1985 The Capital Inflows Problem Revisited: A Stylized Model of Southern Cone Disinflation Review of Economic Studies S 1
1983 Two-step two-stage least squares estimation in models with rational expectations Journal of Econometrics A 3
1983 Exchange rates, inflation, and the sterilization problem: Germany, 1975-1981 European Economic Review B 1
1983 Intertemporal price speculation and the optimal current-account deficit Journal of International Money and Finance B 1
1983 Speculative Hyperinflations in Maximizing Models: Can We Rule Them Out? Journal of Political Economy S 2
1982 Can We Sterilize? Theory and Evidence. American Economic Review S 1
1982 The capitalization of income streams and the effects of open-market policy under fixed exchange rates Journal of Monetary Economics A 1
1982 Aggregate Spending and the Terms of Trade: Is There a Laursen-Metzler Effect? Quarterly Journal of Economics S 1
1981 A Note on Exchange-Rate Expectations and Nominal Interest Differentials: A Test of the Fisher Hypothesis. Journal of Finance A 2
1981 Capital Mobility and Devaluation in an Optimizing Model with Rational Expectations. American Economic Review S 1
1981 Macroeconomic Policy, Exchange-Rate Dynamics, and Optimal Asset Accumulation. Journal of Political Economy S 1
1980 Imperfect asset substitutability and monetary policy under fixed exchange rates Journal of International Economics A 1
1980 Intermediate imports, the terms of trade, and the dynamics of the exchange rate and current account Journal of International Economics A 1