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 68, issue S, 2014
- A reconciliation of SVAR and narrative estimates of tax multipliers pp. S1-S19

- Karel Mertens and Morten Ravn
- The Economic Stimulus Payments of 2008 and the aggregate demand for consumption pp. S20-S36

- Christian Broda and Jonathan Parker
- Debt maturity without commitment pp. S37-S54

- Dirk Niepelt
- The redistributive effects of financial deregulation pp. S55-S67

- Anton Korinek and Jonathan Kreamer
- Internal debt crises and sovereign defaults pp. S68-S80

- Cristina Arellano and Narayana Kocherlakota
Volume 68, issue C, 2014
- A life-cycle model of unemployment and disability insurance pp. 1-18

- Sagiri Kitao
- Loss aversion and the asymmetric transmission of monetary policy pp. 19-36

- Emiliano Santoro, Ivan Petrella, Damjan Pfajfar and Edoardo Gaffeo
- Time to produce and emerging market crises pp. 37-52

- Felipe Schwartzman
- The cyclicality of the user cost of labor pp. 53-67

- Marianna Kudlyak
- Policy risk and the business cycle pp. 68-85

- Benjamin Born and Johannes Pfeifer
- Fixed costs and long-lived investments pp. 86-100

- Christopher L. House
- Mussa redux and conditional PPP pp. 101-114

- Paul Bergin, Reuven Glick and Jyh-Lin Wu
- On the individual optimality of economic integration pp. 115-135

- Rui Castro and Nelnan Koumtingué
Volume 67, issue C, 2014
- Bridging DSGE models and the raw data pp. 1-15

- Fabio Canova
- Preferences or private assessments on a monetary policy committee? pp. 16-32

- Stephen Hansen, Michael McMahon and Carlos Velasco Rivera
- Lack of divine coincidence in New Keynesian models pp. 33-46

- Sergio Alves
- Polarized business cycles pp. 47-61

- Marina Azzimonti and Matthew Talbert
- Business cycle implications of mortgage spreads pp. 62-77

- Karl Walentin
- Uncertainty shocks and unemployment dynamics in U.S. recessions pp. 78-92

- Giovanni Caggiano, Efrem Castelnuovo and Nicolas Groshenny
- Inflation dynamics: The role of public debt and policy regimes pp. 93-108

- Saroj Bhattarai, Jae Won Lee and Woong Yong Park
- A neoclassical interpretation of momentum pp. 109-128

- Laura Xiaolei Liu and Lu Zhang
Volume 66, issue C, 2014
- How Amsterdam got fiat money pp. 1-12

- Stephen Quinn and William Roberds
- Long-run productivity risk: A new hope for production-based asset pricing? pp. 13-31

- Mariano Massimiliano Croce
- Innovation and the trade elasticity pp. 32-46

- Loris Rubini
- Machines, buildings, and optimal dynamic taxes pp. 47-61

- Ctirad Slavík and Hakki Yazici
- Income inequality and social preferences for redistribution and compensation differentials pp. 62-78

- William Kerr
- A macroeconomic approach to corporate capital structure pp. 79-94

- Mitsuru Katagiri
- Short and long interest rate targets pp. 95-107

- Bernardino Adão, Isabel Correia and Pedro Teles
- Do people understand monetary policy? pp. 108-123

- Carlos Carvalho and Fernanda Nechio
- Sufficient information in structural VARs pp. 124-136

- Mario Forni and Luca Gambetti
- Dissent in monetary policy decisions pp. 137-154

- Alessandro Riboni and Francisco Ruge-Murcia
- Is it one break or ongoing permanent shocks that explains U.S. real GDP? pp. 155-163

- Sui Luo and Richard Startz
- Local banking panics of the 1920s: Identification and determinants pp. 164-177

- Lee K. Davison and Carlos Ramirez
- Multiproduct firms and price-setting: Theory and evidence from U.S. producer prices pp. 178-192

- Saroj Bhattarai and Raphael Schoenle
- The reservation laws in India and the misallocation of production factors pp. 193-209

- Manuel Garcia-Santana and Josep Pijoan-Mas
- Nominal rigidities, asset returns, and monetary policy pp. 210-225

- Erica X.N. Li and Francisco Palomino
- Understanding long-run price dispersion pp. 226-240

- Mario Crucini and Hakan Yilmazkuday
Volume 65, issue C, 2014
- On the social usefulness of fractional reserve banking pp. 1-13

- Varadarajan Chari and Christopher Phelan
- The revolving door and worker flows in banking regulation pp. 17-32

- David Lucca, Amit Seru and Francesco Trebbi
- Testing macroprudential stress tests: The risk of regulatory risk weights pp. 36-53

- Viral Acharya, Robert Engle and Diane Pierret
- Predatory trading, Stigma and the Fed׳s Term Auction Facility pp. 57-75

- La׳O, Jennifer
- Liquidity provision, interest rates, and unemployment pp. 80-101

- Guillaume Rocheteau and Antonio Rodriguez-Lopez
- Floating a “lifeboat”: The Banque de France and the crisis of 1889 pp. 104-119

- Pierre-Cyrille Hautcoeur, Angelo Riva and Eugene N. White
Volume 64, issue C, 2014
- Optimal monetary policy with endogenous entry and product variety pp. 1-20

- Florin Bilbiie, Ippei Fujiwara and Fabio Ghironi
- Social security and the rise in health spending pp. 21-37

- Kai Zhao
- Coordination in the use of money pp. 38-46

- Luis Araujo and Bernardo Guimaraes
- Domestic or global imbalances? Rising income risk and the fall in the US current account pp. 47-67

- Tobias Broer
- Home production, labor wedges, and international business cycles pp. 68-84

- Loukas Karabarbounis
- Monetary policy, doubts and asset prices pp. 85-98

- Pierpaolo Benigno and Luigi Paciello
- Financial integration and international business cycle co-movement pp. 99-111

- Jonathan Davis
- Energy price shocks and medium-term business cycles pp. 112-121

- Florentine Schwark
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