Journal of Monetary Economics
1975 - 2025
Continuation of Carnegie-Rochester Conference Series on Public Policy. Current editor(s): R. G. King and C. I. Plosser From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 95, issue C, 2018
- The real effects of forced sales of corporate bonds pp. 1-17

- Hadiye Aslan and Praveen Kumar
- Optimal inflation with corporate taxation and financial constraints pp. 18-31

- Daria Finocchiaro, Giovanni Lombardo, Caterina Mendicino and Philippe Weil
- A model of labor supply, fixed costs and work schedules pp. 32-48

- Gonzalo Castex and Evgenia Dechter
- The transmission of monetary policy through bank lending: The floating rate channel pp. 49-71

- Filippo Ippolito, Ali Ozdagli and Ander Perez-Orive
- Sovereign default and maturity choice pp. 72-85

- Juan Sanchez, Horacio Sapriza and Emircan Yurdagul
- Price manipulation in the Bitcoin ecosystem pp. 86-96

- Neil Gandal, Jt Hamrick, Tyler Moore and Tali Oberman
- Asset Quality Cycles pp. 97-108

- Masao Fukui
Volume 94, issue C, 2018
- Oil consumption, economic growth, and oil futures: The impact of long-run oil supply uncertainty on asset prices pp. 1-26

- Robert C. Ready
- Credit expansion and credit misallocation pp. 27-40

- Alexander Bleck and Xuewen Liu
- Unemployment and the labor share pp. 41-59

- Sephorah Mangin and Petr Sedlacek
- Risk, uncertainty, and the dynamics of inequality pp. 60-78

- Kenneth Kasa and Xiaowen Lei
- On the nonlinear relationship between inflation and growth: A theoretical exposition pp. 79-93

- Ryo Arawatari, Takeo Hori and Kazuo Mino
- Breaking the “iron rice bowl:” Evidence of precautionary savings from the chinese state-owned enterprises reform pp. 94-113

- Hui He, Feng Huang, Zheng Liu and Dongming Zhu
- Adverse selection and self-fulfilling business cycles pp. 114-130

- Jess Benhabib, Feng Dong and Pengfei Wang
Volume 93, issue C, 2018
- Innovation and product reallocation in the great recession pp. 1-20

- David Argente, Munseob Lee and Sara Moreira
- Comments on “Innovation and product reallocation in the great recession” pp. 21-23

- Daniel Yi Xu
- Innovation, productivity, and monetary policy pp. 24-41

- Patrick Moran and Albert Queralto
- Comment on: Innovation, productivity, and monetary policy pp. 42-44

- Michael Waugh
- The demographic deficit pp. 45-62

- Thomas Cooley and Espen Henriksen
- Comment on the demographic deficit pp. 63-67

- Etienne Gagnon, Benjamin K. Johannsen and David López-Salido
- Older and slower: The startup deficit’s lasting effects on aggregate productivity growth pp. 68-85

- Titan Alon, David Berger, Robert Dent and Benjamin Pugsley
- Older and slower: The startup deficit's lasting effects on aggregate productivity growth by Titan Alon, David Berger, Robert Dent and Benjamin Pugsley pp. 86-88

- John Haltiwanger
- Tarnishing the golden and empire states: Land-use restrictions and the U.S. economic slowdown pp. 89-109

- Kyle Herkenhoff, Lee Ohanian and Edward Prescott
- Comment on “Tarnishing the golden and empire states: Land-use regulations and the U.S. economic slowdown,” by Herkenhoff, Ohanian, and Prescott pp. 110-113

- Christopher Tonetti
- Partisan conflict and private investment pp. 114-131

- Marina Azzimonti
- Comment on partisan conflict and private investment pp. 132-134

- Joao F. Gomes
Volume 92, issue C, 2017
- External financing and the role of financial frictions over the business cycle: Measurement and theory pp. 1-15

- Ariel Zetlin-Jones and Ali Shourideh
- Local and aggregate fiscal policy multipliers pp. 16-30

- Bill Dupor and Rodrigo Guerrero
- Low frequency effects of macroeconomic news on government bond yields pp. 31-46

- Carlo Altavilla, Domenico Giannone and Michele Modugno
- The new-Keynesian liquidity trap pp. 47-63

- John H. Cochrane
- Liquidity regulation and the implementation of monetary policy pp. 64-77

- Morten Bech and Todd Keister
- Is the intrinsic value of a macroeconomic news announcement related to its asset price impact? pp. 78-95

- Thomas Gilbert, Chiara Scotti, Georg Strasser and Clara Vega
- How optimal is US monetary policy? pp. 96-111

- Xiaoshan Chen, Tatiana Kirsanova and Campbell Leith
- Monetary shocks and sticky wages in the U.S. great contraction: A multi-sector approach pp. 112-129

- Pedro Amaral and James (Jim) MacGee
Volume 91, issue C, 2017
- Capital accumulation and international trade pp. 1-18

- Fernando Alvarez
- Inflation at the household level pp. 19-38

- Greg Kaplan and Sam Schulhofer-Wohl
- Public debt in economies with heterogeneous agents pp. 39-51

- Anmol Bhandari, David Evans, Mikhail Golosov and Thomas Sargent
- Level and volatility factors in macroeconomic data pp. 52-68

- Yuriy Gorodnichenko and Serena Ng
- Disappearing routine jobs: Who, how, and why? pp. 69-87

- Guido Matias Cortes, Nir Jaimovich and Henry Siu
- Discrete adjustment to a changing environment: Experimental evidence pp. 88-103

- Mel Win Khaw, Luminita Stevens and Michael Woodford
Volume 90, issue C, 2017
- Measuring uncertainty based on rounding: New method and application to inflation expectations pp. 1-12

- Carola Binder
- Government purchases reloaded: Informational insufficiency and heterogeneity in fiscal VARs pp. 13-27

- Atif Ellahie and Giovanni Ricco
- Collateral constraints and macroeconomic asymmetries pp. 28-49

- Luca Guerrieri and Matteo Iacoviello
- Sovereign debt renegotiation and credit default swaps pp. 50-63

- Juliana Salomao
- Informational rigidities and the stickiness of temporary Sales pp. 64-83

- Eric Anderson, Benjamin Malin, Emi Nakamura, Duncan Simester and Jon Steinsson
- Asset price volatility, price markups, and macroeconomic fluctuations pp. 84-98

- Miguel Iraola and Manuel S. Santos
- Cash burns: An inventory model with a cash-credit choice pp. 99-112

- Fernando Alvarez and Francesco Lippi
- Capital regulation and credit fluctuations pp. 113-124

- Hans Gersbach and Jean Rochet
- Job uncertainty and deep recessions pp. 125-141

- Morten Ravn and Vincent Sterk
- Unemployment insurance in a three-state model of the labor market pp. 142-157

- Aaron Popp
- The politics of government financial management: Evidence from state bonds pp. 158-175

- Craig Brown
- The effects of the near-zero interest rate policy in a regime-switching dynamic stochastic general equilibrium model pp. 176-192

- Han Chen
- Cost-benefit analysis of leaning against the wind pp. 193-213

- Lars Svensson
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