Journal of International Economics
1971 - 2025
Current editor(s): Gourinchas, Pierre-Olivier and RodrÃguez-Clare, Andrés From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 136, issue C, 2022
- Spillovers at the extremes: The macroprudential stance and vulnerability to the global financial cycle

- Anusha Chari, Karlye Dilts-Stedman and Kristin Forbes
- Can sticky portfolios explain international capital flows and asset prices?

- Philippe Bacchetta, Margaret Davenport and Eric van Wincoop
- Finite resources and the world economy

- John Hassler, Per Krusell and Conny Olovsson
- Cryptocurrencies, currency competition, and the impossible trinity

- Pierpaolo Benigno, Linda Schilling and Harald Uhlig
- A reconsideration of the failure of uncovered interest parity for the U.S. dollar

- Charles Engel, Katya Kazakova, Mengqi Wang and Nan Xiang
- Sovereign risk and financial risk

- Simon Gilchrist, Bin Wei, Vivian Yue and Egon Zakrajšek
- Patterns of invoicing currency in global trade: New evidence

- Emine Boz, Camila Casas, Georgios Georgiadis, Gita Gopinath, Helena Le Mezo, Arnaud Mehl and Tra Nguyen
- A tale of two global monetary policies

- Silvia Miranda-Agrippino and Tsvetelina Nenova
Volume 135, issue C, 2022
- Financial shocks, credit spreads, and the international credit channel

- Ambrogio Cesa-Bianchi and Andrej Sokol
- What price index should central banks target? An open economy analysis

- Misaki Matsumura
- Technology, market structure and the gains from trade

- Giammario Impullitti, Omar Licandro and Pontus Rendahl
- Foreign currency loans and credit risk: Evidence from U.S. banks

- Friederike Niepmann and Tim Schmidt-Eisenlohr
- Unequal gains, prolonged pain: A model of protectionist overshooting and escalation

- Emily Blanchard and Gerald Willmann
- The effects of permanent monetary shocks on exchange rates and uncovered interest rate differentials

- Stephanie Schmitt-Grohe and Martín Uribe
- Financial integration and the co-movement of economic activity: Evidence from U.S. states

- Martin R. Goetz and Juan Carlos Gozzi
- Demand risk and diversification through international trade

- Federico Esposito
- The real effects of invoicing exports in dollars

- Antoine Berthou, Guillaume Horny and Jean-Stéphane Mésonnier
- Invoicing and the dynamics of pricing-to-market: Evidence from UK export prices around the Brexit referendum

- Giancarlo Corsetti, Meredith Crowley and Lu Han
- Government spending during sudden stop crises

- Siming Liu
Volume 134, issue C, 2022
- Sovereign risk matters: Endogenous default risk and the time-varying volatility of interest rate spreads

- Sergio de Ferra and Enrico Mallucci
- Quality heterogeneity and misallocation: The welfare benefits of raising your standards

- Luca Macedoni and Ariel Weinberger
- Self-enforcing trade policy and exchange rate adjustment

- Stéphane Auray, Michael Devereux and Aurélien Eyquem
- Oil prices, manufacturing goods, and nontradeable services

- Makram Khalil
- Capital flows at risk: Taming the ebbs and flows

- R. Gaston Gelos, Lucyna Gornicka, Robin Koepke, Ratna Sahay and Silvia Sgherri
Volume 133, issue C, 2021
- Do multinationals transfer culture? Evidence on female employment in China

- Heiwai Tang and Yifan Zhang
- Wholesale funding runs, global banks' supply of liquidity insurance, and corporate investment

- Ricardo Correa, Horacio Sapriza and Andrei Zlate
- Technology-induced trade shocks? Evidence from broadband expansion in France

- Clément Malgouyres, Thierry Mayer and Clément Mazet-Sonilhac
- On the evolution of comparative advantage: Path-dependent versus path-defying changes

- Nicola Coniglio, Davide Vurchio, Nicola Cantore and Michele Clara
- Quid pro quo? Political ties and sovereign borrowing

- Gene Ambrocio and Iftekhar Hasan
- Questioning the puzzle: Fiscal policy, real exchange rate and inflation

- Laurent Ferrara, Luca Metelli, Filippo Natoli and Daniele Siena
- The international spillover effects of US monetary policy uncertainty

- Aeimit Lakdawala, Timothy Moreland and Matthew Schaffer
- Media sentiment and international asset prices

- Samuel P. Fraiberger, Do Lee, Damien Puy and Romain Ranciere
- Import competition, heterogeneous preferences of managers, and productivity

- Cheng Chen and Claudia Steinwender
- Global supply chains in the pandemic

- Barthélémy Bonadio, Zhen Huo, Andrei Levchenko and Nitya Pandalai-Nayar
- Trade and minimum wages in general equilibrium: Theory and evidence

- Xue Bai, Arpita Chatterjee, Kala Krishna and Hong Ma
- Anticipation effects of protectionist U.S. trade policies

- Norbert Metiu
- Dominant-currency pricing and the global output spillovers from US dollar appreciation

- Georgios Georgiadis and Ben Schumann
- How does trade respond to anticipated tariff changes? Evidence from NAFTA

- Shafaat Khan and Armen Khederlarian
- China's overseas lending

- Sebastian Horn, Carmen Reinhart and Christoph Trebesch
- The interplay between oil and food commodity prices: Has it changed over time?

- Gert Peersman, Sebastian Rüth and Wouter Van der Veken
- Currency returns and FX dealer balance sheets

- Stefan Reitz and Dennis Umlandt
Volume 132, issue C, 2021
- Trade, unemployment, and monetary policy

- Matteo Cacciatore and Fabio Ghironi
- Preferred and non-preferred creditors

- Tito Cordella and Andrew Powell
- Global declining competition?

- Federico J. Díez, Jiayue Fan and Carolina Villegas-Sánchez
- FDI inflows in Europe: Does investment promotion work?

- Riccardo Crescenzi, Marco Di Cataldo and Mara Giua
- Faraway, so close! International transmission in the medium-term cycle of advanced economies

- Mónica Correa-López and Beatriz de Blas
- Endogenous corporate leverage response to a safer macro environment: The case of foreign exchange reserve accumulation

- Hui Tong and Shang-Jin Wei
- The dynamics of the U.S. trade balance and real exchange rate: The J curve and trade costs?

- George Alessandria and Horag Choi
- Identifying indicators of systemic risk

- Benny Hartwig, Christoph Meinerding and Yves Schüler
- Bias and consistency in three-way gravity models

- Martin Weidner and Thomas Zylkin
- Point targets, tolerance bands or target ranges? Inflation target types and the anchoring of inflation expectations

- Michael Ehrmann
- Corporate taxes and multi-product exporters: Theory and evidence from trade dynamics

- Lisandra Flach, Michael Irlacher and Florian Unger
- Expectations' anchoring and inflation persistence

- Rudolfs Bems, Francesca Caselli, Francesco Grigoli and Bertrand Gruss
- International protection of consumer data

- Yongmin Chen, Xinyu Hua and Keith Maskus
- How does the interaction of macroprudential and monetary policies affect cross-border bank lending?

- Elod Takats and Judit Temesvary
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