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Fabio C. Bagliano

Global rank #9374 89%

Institution: Università degli Studi di Torino

Primary Field: Finance (weighted toward more recent publications)

Homepage: http://sites.carloalberto.org/bagliano

First Publication: 1992

Most Recent: 2025

RePEc ID: pba82 ↗

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 2.01 0.00 2.35
Last 10 Years 0.00 0.00 2.01 0.00 2.85
All Time 0.00 0.00 7.37 0.00 10.72

Publication Statistics

Raw Publications 15
Coauthorship-Adjusted Count 14.14

Publications (15)

Year Article Journal Tier Authors
2025 Eurozone economic integration: Historical developments and new challenges ahead European Economic Review B 2
2025 Monetary policy at the periphery during the Classical Gold Standard: Italy (1894–1913) Explorations in Economic History B 2
2021 Life-cycle welfare losses from rules-of-thumb asset allocation Economics Letters C 3
2017 It ain’t over till it’s over: A global perspective on the Great Moderation-Great Recession interconnection Applied Economics C 2
2014 Optimal Life-Cycle Portfolios for Heterogeneous Workers Review of Finance B 3
2012 The Great Recession: US dynamics and spillovers to the world economy Journal of Banking & Finance B 2
2010 Business cycle comovement in the G-7: common shocks or common transmission mechanisms? Applied Economics C 2
2009 International macroeconomic dynamics: A factor vector autoregressive approach Economic Modeling C 2
2007 Inflation and monetary dynamics in the USA: a quantity-theory approach Applied Economics C 2
2004 The cyclical behaviour of inventories: European cross-country evidence from the early 1990s recession Applied Economics C 2
2000 Bank competition and ECB's monetary policy Journal of Banking & Finance B 3
1999 Liquidation risks in the Rotemberg-Saloner implicit collusion model Economics Letters C 2
1999 Information from financial markets and VAR measures of monetary policy European Economic Review B 2
1998 Measuring monetary policy with VAR models: An evaluation European Economic Review B 2
1992 Money demand instability, expectations and policy regimes: A note on the case of Italy: 1964-1986 Journal of Banking & Finance B 2