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Stephen Williamson

Global rank #236 99%

Institution: University of Western Ontario

Primary Field: Macro (weighted toward more recent publications)

Homepage: https://sites.google.com/site/1954stephenwilliamson/

First Publication: 1986

Most Recent: 2022

RePEc ID: pwi12 ↗

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 2.01 0.00 2.01 0.00 10.05
Last 10 Years 2.01 6.03 8.04 0.00 29.16
All Time 12.07 22.12 22.12 0.00 115.62

Publication Statistics

Raw Publications 35
Coauthorship-Adjusted Count 58.56

Publications (35)

Year Article Journal Tier Authors
2022 Central bank digital currency and flight to safety Journal of Economic Dynamics and Control B 1
2022 Central Bank Digital Currency: Welfare and Policy Implications Journal of Political Economy S 1
2019 Interest on reserves, interbank lending, and monetary policy Journal of Monetary Economics A 1
2019 Low real interest rates and the zero lower bound Review of Economic Dynamics B 1
2019 Neo‐Fisherism and inflation control Canadian Journal of Economics C 1
2018 Low Real Interest Rates, Collateral Misrepresentation, and Monetary Policy American Economic Journal: Macroeconomics A 1
2018 Can the fiscal authority constrain the central bank? Journal of Economic Dynamics and Control B 1
2018 Comments on “The Fiscal Theory of the Price Level in a world with low interest rates,” by M. Bassetto and W. Cui Journal of Economic Dynamics and Control B 1
2016 Scarce collateral, the term premium, and quantitative easing Journal of Economic Theory A 1
2015 Scarcity of safe assets, inflation, and the policy trap Journal of Monetary Economics A 2
2015 Introduction to the special issue on money, credit, and financial frictions Review of Economic Dynamics B 2
2015 Credit Markets, Limited Commitment, and Government Debt Review of Economic Studies S 2
2015 Keynesian Inefficiency and Optimal Policy: A New Monetarist Approach Journal of Money, Credit, and Banking B 1
2012 Liquidity, Monetary Policy, and the Financial Crisis: A New Monetarist Approach American Economic Review S 1
2010 Money and credit with limited commitment and theft Journal of Economic Theory A 2
2009 Transactions, Credit, and Central Banking in a Model of Segmented Markets Review of Economic Dynamics B 1
2008 Monetary policy and distribution Journal of Monetary Economics A 1
2004 Comment on: "Payment system disruptions and the federal reserve following September 11, 2001" Journal of Monetary Economics A 1
2004 Limited participation, private money, and credit in a spatial model of money Economic Theory B 1
2003 Payments systems and monetary policy Journal of Monetary Economics A 1
2002 Moral hazard, optimal unemployment insurance, and experience rating Journal of Monetary Economics A 2
2001 Payments Systems Design in Deterministic and Private Information Environments Journal of Economic Theory A 2
2000 Money and Dynamic Credit Arrangements with Private Information Journal of Economic Theory A 2
1999 Credit in a Random Matching Model with Private Information Review of Economic Dynamics B 2
1998 Discount Window Lending and Deposit Insurance Review of Economic Dynamics B 1
1996 Sequential markets and the suboptimality of the Friedman rule Journal of Monetary Economics A 1
1996 Real business cycle research comes of age: A review essay Journal of Monetary Economics A 1
1994 Barter and Monetary Exchange under Private Information. American Economic Review S 2
1994 Liquidity and market participation Journal of Economic Dynamics and Control B 1
1992 Laissez-faire banking and circulating media of exchange Journal of Financial Intermediation B 1
1989 International financial intermediation and aggregate fluctuations under alternative exchange rate regimes Journal of Monetary Economics A 2
1987 Costly Monitoring, Loan Contracts, and Equilibrium Credit Rationing Quarterly Journal of Economics S 1
1987 Financial Intermediation, Business Failures, and Real Business Cycles. Journal of Political Economy S 1
1986 Costly monitoring, financial intermediation, and equilibrium credit rationing Journal of Monetary Economics A 1
1986 Increasing Returns to Scale in Financial Intermediation and the Non-Neutrality of Government Policy Review of Economic Studies S 1