Details about Hernán D. Seoane
Access statistics for papers by Hernán D. Seoane.
Last updated 2024-10-06. Update your information in the RePEc Author Service.
Short-id: pse787
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Working Papers
2023
- The Green Metamorphosis of a small Open Economy
Working Papers, Red Nacional de Investigadores en Economía (RedNIE) View citations (8)
2022
- An Ergodic Theory of Sovereign Default
Working Papers, Red Nacional de Investigadores en Economía (RedNIE) 
Also in UC3M Working papers. Economics, Universidad Carlos III de Madrid. Departamento de EconomÃa (2022)
- Greenflation: The cost of the green transition in small open economies
Research Department working papers, CAF Development Bank Of Latinamerica View citations (6)
2021
- A Model To Think About Crypto-Assets and Central Bank Digital Currency
EconPol Policy Reports, ifo Institute - Leibniz Institute for Economic Research at the University of Munich
- The Trend-cycle Connection
Working Papers, Red Nacional de Investigadores en Economía (RedNIE)
2020
- The Real Interest Rates Across Monetary Policy Regimes
EconPol Policy Reports, ifo Institute - Leibniz Institute for Economic Research at the University of Munich
- The Sovereign-Bank Nexus: the Role of Debt and Monetary Policy
EconPol Policy Reports, ifo Institute - Leibniz Institute for Economic Research at the University of Munich View citations (1)
2019
- Welfare gains of bailouts in a sovereign default model
Bank of Finland Research Discussion Papers, Bank of Finland 
See also Journal Article Welfare gains of bailouts in a sovereign default model, Journal of Economic Dynamics and Control, Elsevier (2020) View citations (7) (2020)
Journal Articles
2024
- Made in Europe: Monetary–Fiscal policy mix with financial frictions
European Economic Review, 2024, 165, (C)
2020
- Welfare gains of bailouts in a sovereign default model
Journal of Economic Dynamics and Control, 2020, 113, (C) View citations (7)
See also Working Paper Welfare gains of bailouts in a sovereign default model, Bank of Finland Research Discussion Papers (2019) (2019)
2019
- TIME‐VARYING VOLATILITY, DEFAULT, AND THE SOVEREIGN RISK PREMIUM
International Economic Review, 2019, 60, (1), 283-301 View citations (3)
- Trend shocks and sudden stops
Journal of International Economics, 2019, 121, (C) View citations (18)
2017
- MARKUPS AND THE REAL EFFECTS OF VOLATILITY SHOCKS
International Economic Review, 2017, 58, (3), 807-828
2016
- Parameter drifts, misspecification and the real exchange rate in emerging countries
Journal of International Economics, 2016, 98, (C), 204-215 View citations (6)
- The price of capital and the financial accelerator
Economics Letters, 2016, 149, (C), 86-89 View citations (3)
2015
- Bayesian Mixed Frequency VARs
Journal of Financial Econometrics, 2015, 13, (3), 698-721 View citations (60)
- Near unit root small open economies
Journal of Economic Dynamics and Control, 2015, 53, (C), 37-46 View citations (1)
Chapters
2022
- Asias corporate debt: assessingits role in financial vulnerability
Chapter 7 in The Sustainability of Asia’s Debt, 2022, pp 188-213
2014
- Comment on “From Austerity to Growth in Europe: Some Lessons from Latin America” by Stephany Griffith-Jones
Palgrave Macmillan
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