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Sergio Schmukler

Institution: World Bank Group

Primary Field: International (weighted toward more recent publications)

Homepage: http://www.worldbank.org/en/about/people/s/sergio-schmukler

First Publication: 1999

Most Recent: 2023

RePEc ID: psc64 ↗

Publication Scores

Scores use coauthorship adjustment: α/n credit per paper, where n = number of authors. α = 2.02: calibrated so average adjusted count equals average raw count (a zero-sum adjustment).

Period S (4x) A (2x) B (1x) C (½x) Total Percentile
Last 5 Years 0.00 3.36 2.35 0.00 5.72 86%
Last 10 Years 0.00 4.71 2.35 0.34 7.40 82%
All Time 0.00 20.18 16.65 2.02 38.85 97%

Publication Statistics

Raw Publications 41
Coauthorship-Adjusted Count 26.93

Publications (41)

Year Article Journal Tier Authors
2024 The Internationalization of China’s Equity Markets IMF Economic Review B 4
2023 Bilateral international investments: The big sur? Journal of International Economics A 4
2022 Large international corporate bonds: Investor behavior and firm responses Journal of International Economics A 4
2021 Capital inflows, equity issuance activity, and corporate investment Journal of Financial Intermediation B 3
2021 Capital market financing and firm growth Journal of International Money and Finance B 4
2021 Global corporate debt during crises: Implications of switching borrowing across markets Journal of International Economics A 3
2021 The rise of domestic capital markets for corporate financing: Lessons from East Asia Journal of Banking & Finance B 3
2018 Corporate debt maturity in developing countries: Sources of long and short‐termism The World Economy C 3
2017 International asset allocations and capital flows: The benchmark effect Journal of International Economics A 3
2015 How firms use corporate bond markets under financial globalization Journal of Banking & Finance B 4
2015 Institutional Investors and Long-Term Investment: Evidence from Chile World Bank Economic Review B 3
2013 Gross capital flows: Dynamics and crises Journal of Monetary Economics A 4
2013 The financing and growth of firms in China and India: Evidence from capital markets Journal of International Money and Finance B 2
2013 Unexploited Gains From International Diversification: Patterns Of Portfolio Holdings Around The World Review of Economics and Statistics A 3
2012 How resilient and countercyclical were emerging economies during the global financial crisis? Journal of International Money and Finance B 3
2012 On the international transmission of shocks: Micro-evidence from mutual fund portfolios Journal of International Economics A 2
2010 Bank involvement with SMEs: Beyond relationship lending Journal of Banking & Finance B 3
2010 Patterns of international capital raisings Journal of International Economics A 3
2010 Depositor Behavior under Macroeconomic Risk: Evidence from Bank Runs in Emerging Economies Journal of Money, Credit, and Banking B 3
2009 International financial integration through the law of one price: The role of liquidity and capital controls Journal of Financial Intermediation B 3
2008 Internationalization and the evolution of corporate valuation Journal of Financial Economics A 3
2008 Short-Run Pain, Long-Run Gain: Financial Liberalization and Stock Market Cycles Review of Finance B 2
2007 Government Bonds in Domestic and Foreign Currency: the Role of Institutional and Macroeconomic Factors* Review of International Economics B 3
2007 International financial integration through equity markets: Which firms from which countries go global? Journal of International Money and Finance B 2
2007 Stock market development under globalization: Whither the gains from reforms? Journal of Banking & Finance B 3
2007 Migration, spillovers, and trade diversion: The impact of internationalization on domestic stock market activity Journal of Banking & Finance B 2
2007 The Evolving Role of China and India in the Global Financial System Open Economies Review C 2
2006 Internationalization and Stock Market Liquidity Review of Finance B 2
2006 Financial globalization and debt maturity in emerging economies Journal of Development Economics A 2
2006 Stock market development and internationalization: Do economic fundamentals spur both similarly? Journal of Empirical Finance C 3
2005 Predicting currency fluctuations and crises: Do resident firms have an informational advantage? Journal of International Money and Finance B 3
2004 Global transmission of interest rates: monetary independence and currency regime Journal of International Money and Finance B 3
2004 Managers, investors, and crises: mutual fund strategies in emerging markets Journal of International Economics A 3
2004 The price of inconvertible deposits: the stock market boom during the Argentine crisis Economics Letters C 3
2002 Emerging Market Instability: Do Sovereign Ratings Affect Country Risk and Stock Returns? World Bank Economic Review B 2
2002 Pricing currency risk under currency boards Journal of Development Economics A 2
2001 Verifying exchange rate regimes Journal of Development Economics A 4
2001 Do Depositors Punish Banks for Bad Behavior? Market Discipline, Deposit Insurance, and Banking Crises Journal of Finance A 2
2001 Mutual Fund Investment in Emerging Markets: An Overview World Bank Economic Review B 3
1999 What triggers market jitters?: A chronicle of the Asian crisis Journal of International Money and Finance B 2
1996 Country fund discounts and the mexican crisis of December 1994: Did local residents turn pessimistic before international investors? Open Economies Review C 2