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Bruce D. Smith

Global rank #137 99%

Institution: Unknown

Primary Field: Theory (weighted toward more recent publications)

First Publication: 1983

Most Recent: 2006

RePEc ID: psm3 ↗

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 0.00 0.00 0.00 0.00 0.00
All Time 17.09 32.84 21.78 0.00 157.85

Publication Statistics

Raw Publications 62
Coauthorship-Adjusted Count 76.07

Publications (62)

Year Article Journal Tier Authors
2006 The seasonality of banking failures during the late National Banking Era Canadian Journal of Economics C 2
2004 Deposit insurance and bank regulation in a monetary economy: a general equilibrium exposition Economic Theory B 3
2003 Intermediaries and payments instruments Journal of Economic Theory A 2
2003 The value of inside and outside money Journal of Monetary Economics A 2
2002 Deposit insurance: a reconsideration Journal of Monetary Economics A 3
2002 Monetary Policy and Government Credit Programs Journal of Financial Intermediation B 3
2002 Monetary Policy, Banking Crises, and the Friedman Rule American Economic Review S 1
2002 In Memoriam Journal of Financial Intermediation B 1
2001 Private and Public Circulating Liabilities Journal of Economic Theory A 3
2001 The impact of inflation on financial sector performance Journal of Monetary Economics A 3
2001 Introduction to Monetary and Financial Arrangements Journal of Economic Theory A 1
2000 The evolution of cash transactions: Some implications for monetary policy Journal of Monetary Economics A 2
1999 Inflation and asset returns European Economic Review B 3
1999 The Use of Debt and Equity in Optimal Financial Contracts Journal of Financial Intermediation B 2
1999 Inflation, financial markets and long-run real activity Journal of Monetary Economics A 2
1998 Financial Intermediation and Regime Switching in Business Cycles. American Economic Review S 2
1998 The Effects of Open Market Operations in a Model of Intermediation and Growth Review of Economic Studies S 2
1998 Great Inflations of the 20th Century: Theories, Policies and Evidence. Edited by P. L. Siklos. Cornwall: Edward Elgar Publishing, 1995. Pp. xiv, 308. $79.95. Journal of Economic History B 1
1998 Financial Market Frictions, Monetary Policy, and Capital Accumulation in a Small Open Economy Journal of Economic Theory A 2
1998 Government borrowing using bonds with randomly determined returns: Welfare improving randomization in the context of deficit finance Journal of Monetary Economics A 2
1998 Repeated insurance relationships in a costly state verification model: With an application to deposit insurance Journal of Monetary Economics A 2
1998 Capital market imperfections in a monetary growth model Economic Theory B 2
1998 The evolution of debt and equity markets in economic development Economic Theory B 2
1997 Unemployment, Migration, and Growth. Journal of Political Economy S 2
1997 Financial markets in development, and the development of financial markets Journal of Economic Dynamics and Control B 2
1997 Coinage, debasements, and Gresham's laws Economic Theory B 2
1997 Money, Banking, and Capital Formation Journal of Economic Theory A 2
1997 Capital Market Imperfections, International Credit Markets, and Nonconvergence Journal of Economic Theory A 2
1996 Private Information, Money, and Growth: Indeterminacy, Fluctuations, and the Mundell-Tobin Effect. Journal of Economic Growth A 2
1996 Equity Markets, Transactions Costs, and Capital Accumulation: An Illustration. World Bank Economic Review B 3
1996 Liquidity of Secondary Capital Markets: Allocative Efficiency and the Maturity Composition of the Capital Stock. Economic Theory B 3
1996 Credit market imperfections and economic development: Theory and evidence Journal of Development Economics A 2
1996 Do open market operations matter? Theory and evidence from the Second Bank of the United States Journal of Economic Dynamics and Control B 3
1996 The Coevolution of the Real and Financial Sectors in the Growth Process. World Bank Economic Review B 2
1995 Transactions Costs, Technological Choice, and Endogenous Growth Journal of Economic Theory A 3
1995 Liquidity of secondary capital markets: Allocative efficiency and the maturity composition of the capital stock Economic Theory B 3
1995 Indivisible Assets, Equilibrium, and the Value of Intermediation Journal of Financial Intermediation B 2
1995 A Theory of Mutual Formation and Moral Hazard with Evidence from the History of the Insurance Industry. The Review of Financial Studies A 2
1994 Mischief and monetary history Friedman and Schwartz thirty years later Journal of Monetary Economics A 1
1994 Efficiency and Determinacy of Equilibrium under Inflation Targeting. Economic Theory B 1
1993 Adverse Selection in the Overlapping Generations Model: The Case of Pure Exchange Journal of Economic Theory A 2
1993 Some consequences of credit rationing in an endogenous growth model Journal of Economic Dynamics and Control B 2
1993 A Theory of Optimal Denominations for Government Liabilities. Economic Theory B 2
1993 The Equilibrium Allocation of Investment Capital in the Presence of Adverse Selection and Costly State Verification. Economic Theory B 2
1992 Deficits, Inflation, and the Banking System in Developing Countries: The Optimal Degree of Financial Repression. Oxford Economic Papers C 2
1992 Accuracy versus efficiency when modelling investment Economic Modeling C 1
1992 Intermediation and the equilibrium allocation of investment capital : Implications for economic development Journal of Monetary Economics A 2
1991 Financial Intermediation and Endogenous Growth Review of Economic Studies S 2
1991 Interest on Reserves and Sunspot Equilibria: Friedman's Proposal Reconsidered Review of Economic Studies S 1
1990 Adverse selection and mutuality: The case of the farm credit system Journal of Financial Intermediation B 2
1989 Dynamic coalition formation and equilibrium policy selection Journal of Monetary Economics A 2
1989 Legal restrictions, "sunspots," and cycles Journal of Economic Theory A 1
1989 A Business Cycle Model with Private Information. Journal of Labor Economics A 1
1989 A Model of Nominal Contracts. Journal of Labor Economics A 1
1988 Legal Restrictions, "Sunspots," and Peel's Bank Act: The Real Bills Doctrine versus the Quantity Theory Reconsidered. Journal of Political Economy S 1
1987 Irrelevance of Open Market Operations in Some Economies with Government Currency Being Dominated in Rate of Return. American Economic Review S 2
1985 Government Expenditures, Deficits, and Inflation: On the Impossibility of a Balanced Budget Quarterly Journal of Economics S 1
1985 Some Colonial Evidence on Two Theories of Money: Maryland and the Carolinas. Journal of Political Economy S 1
1984 Money, nonconvex preferences, and the existence of equilibrium: A note Journal of Economic Theory A 1
1984 Private information, deposit interest rates, and the `stability' of the banking system Journal of Monetary Economics A 1
1983 Limited Information, Credit Rationing, and Optimal Government Lending Policy. American Economic Review S 1
1983 The standard of living debate, rational expectations, and neutrality : Some evidence from the industrial revolution Journal of Monetary Economics A 2