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 75, issue C, 2015
- Innovation, diffusion, and trade: Theory and measurement pp. 1-20

- Ana Maria Santacreu
- Asset pricing with heterogeneous preferences, beliefs, and portfolio constraints pp. 21-34

- Georgy Chabakauri
- Prices are sticky after all pp. 35-53

- Patrick Kehoe and Virgiliu Midrigan
- Margin regulation and volatility pp. 54-68

- Johannes Brumm, Michael Grill, Felix Kubler and Karl Schmedders
- World food prices and monetary policy pp. 69-88

- Luis Catão and Roberto Chang
- Financing constraints and unemployment: Evidence from the Great Recession pp. 89-105

- Burcu Duygan-Bump, Alexey Levkov and Judit Montoriol-Garriga
- Worker search effort as an amplification mechanism pp. 106-122

- Paul Gomme and Damba Lkhagvasuren
- On the global supply of basic research pp. 123-137

- Hans Gersbach and Maik Schneider
Volume 74, issue C, 2015
- Capital controls and optimal Chinese monetary policy pp. 1-15

- Chun Chang, Zheng Liu and Mark Spiegel
- Home equity, mobility, and macroeconomic fluctuations pp. 16-32

- Vincent Sterk
- Bubbles, banks and financial stability pp. 33-51

- Kosuke Aoki and Kalin Nikolov
- Noisy information, distance and law of one price dynamics across US cities pp. 52-66

- Mario Crucini, Mototsugu Shintani and Takayuki Tsuruga
- Life-cycle effects of health risk pp. 67-88

- Elena Capatina
- Portfolio and welfare consequences of debt market dominance pp. 89-101

- Serhiy Stepanchuk and Viktor Tsyrennikov
- What measure of inflation should a developing country central bank target? pp. 102-116

- Rahul Anand, Eswar Prasad and Boyang Zhang
- Credit conditions and stock return predictability pp. 117-132

- Sudheer Chava, Michael Gallmeyer and Heungju Park
Volume 73, issue C, 2015
- When does a central bank׳s balance sheet require fiscal support? pp. 1-19

- Marco Del Negro and Christopher A. Sims
- A probability-based stress test of Federal Reserve assets and income pp. 26-43

- Jens H.E. Christensen, Jose Lopez and Glenn Rudebusch
- On the stability of money demand pp. 48-65

- Robert Lucas and Juan Pablo Nicolini
- Scarcity of safe assets, inflation, and the policy trap pp. 70-92

- David Andolfatto and Stephen Williamson
- Speculative runs on interest rate pegs pp. 99-114

- Marco Bassetto and Christopher Phelan
- Monetary policy, bond returns and debt dynamics pp. 119-136

- Antje Berndt and Sevin Yeltekin
Volume 72, issue C, 2015
- Marriage stability, taxation and aggregate labor supply in the U.S. vs. Europe pp. 1-20

- Indraneel Chakraborty, Hans A. Holter and Serhiy Stepanchuk
- Wealth shocks, unemployment shocks and consumption in the wake of the Great Recession pp. 21-41

- Dimitris Christelis, Dimitris Georgarakos and Tullio Jappelli
- How important is variability in consumer credit limits? pp. 42-63

- Scott Fulford
- On the importance of the participation margin for labor market fluctuations pp. 64-82

- Michael Elsby, Bart Hobijn and Ayşegül Şahin
- News about aggregate demand and the business cycle pp. 83-96

- Jang-Ting Guo, Anca-Ioana Sirbu and Mark Weder
- Macroeconomic dynamics in a model of goods, labor, and credit market frictions pp. 97-113

- Nicolas Petrosky-Nadeau and Etienne Wasmer
- Revisiting wage, earnings, and hours profiles pp. 114-130

- Peter Rupert and Giulio Zanella
- Optimized Taylor rules for disinflation when agents are learning pp. 131-147

- Timothy Cogley, Christian Matthes and Argia M. Sbordone
Volume 71, issue C, 2015
- Access policy and money market segmentation pp. 1-12

- Sébastien Kraenzlin and Thomas Nellen
- Consumption heterogeneity, employment dynamics and macroeconomic co-movement pp. 13-32

- Stefano Eusepi and Bruce Preston
- Asymmetric information in securitization: An empirical assessment pp. 33-49

- Ugo Albertazzi, Ginette Eramo, Leonardo Gambacorta and Carmelo Salleo
- Bank ownership, lending, and local economic performance during the 2008–2009 financial crisis pp. 50-66

- Nicholas Coleman and Leo Feler
- Life-cycle portfolio choice with liquid and illiquid financial assets pp. 67-83

- Claudio Campanale, Carolina Fugazza and Francisco Gomes
- Evaluating international consumption risk sharing gains: An asset return view pp. 84-98

- Karen Lewis and Edith Liu
- Optimal unemployment insurance in an equilibrium business-cycle model pp. 99-118

- Kurt Mitman and Stanislav Rabinovich
- Capital flows and the risk-taking channel of monetary policy pp. 119-132

- Valentina Bruno and Hyun Song Shin
Volume 70, issue C, 2015
- The scapegoat theory of exchange rates: the first tests pp. 1-21

- Marcel Fratzscher, Dagfinn Rime, Lucio Sarno and Gabriele Zinna
- OccBin: A toolkit for solving dynamic models with occasionally binding constraints easily pp. 22-38

- Luca Guerrieri and Matteo Iacoviello
- Optimal taxation with home production pp. 39-50

- Conny Olovsson
- Macroeconomic regimes pp. 51-71

- Lieven Baele, Geert Bekaert, Seonghoon Cho, Koen Inghelbrecht and Antonio Moreno
- Has U.S. monetary policy tracked the efficient interest rate? pp. 72-83

- Vasco Cúrdia, Andrea Ferrero, Ging Cee Ng and Andrea Tambalotti
- Managing markets for toxic assets pp. 84-99

- Christopher L. House and Yusufcan Masatlioglu
- Financial stress and economic dynamics: The transmission of crises pp. 100-115

- Kirstin Hubrich and Robert Tetlow
- Liquidity, assets and business cycles pp. 116-132

- Shouyong Shi
Volume 69, issue C, 2015
- Macroeconomic volatility and external imbalances pp. 1-15

- Alessandra Fogli and Fabrizio Perri
- Microeconomic uncertainty, international trade, and aggregate fluctuations pp. 20-38

- George Alessandria, Horag Choi, Joseph Kaboski and Virgiliu Midrigan
- Risk and ambiguity in models of business cycles pp. 42-63

- David Backus, Axelle Ferriere and Stanley Zin
- Growth uncertainty, generalized disappointment aversion and production-based asset pricing pp. 70-89

- Hening Liu and Jianjun Miao
- Four types of ignorance pp. 97-113

- Lars Peter Hansen and Thomas Sargent
- Uncertainty, investment, and managerial incentives pp. 121-137

- Brent Glover and Oliver Levine
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