| Members of the Research and Statistics Group publish in a wide range of economic and finance journals, conference volumes, and scholarly books. |
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2025
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| Martin Almuzara, Richard Audoly, and Davide Melcangi “A Measure of Trend Wage Inflation,” Journal of Applied Econometrics 40, no. 5 (August): 508-20. |
| Kristian S. Blickle “Information-Based Pricing in Specialized Lending,” Journal of Financial Economics 172 (October). |
| Nina Boyarchenko, Richard K. Crump, and Or Shachar “Corporate Bond Market Distress,” with Anna Kovner. Journal of Monetary Economics 152 (June). |
| Nina Boyarchenko and Or Shachar “A Hitchhiker’s Guide to Federal Reserve Participation in Fixed Income Markets,” Journal of Economic Perspectives 39, no. 2 (Spring): 171-94. |
| Marco Cipriani “Douglas Gale’s Contribution to Social Learning, Decision Under Risk and Uncertainty, Monotone Games and Networks,” with Syngjoo Choi, Antonio Guarino, and Shachar Kariv. Journal of Financial Intermediation 62 (April). |
| Matteo Crosignani “Exorbitant Privilege? QE and the Bond Market Subsidy of Prospective Fallen Angels,” with Viral V. Acharya, Ryan Banerjee, Tim Eisert, and Renee Spigt. Journal of Financial Economics 170 (August). |
| Richard K. Crump “Deconstructing the Yield Curve,” with Nikolay Gospodinov. Review of Financial Studies 39, no. 2 (February): 381-421. |
| Richard K. Crump and Argia Sbordone “A Large Bayesian VAR of the United States Economy,” with Stefano Eusepi, Domenico Giannone, and Eric Qian. International Journal of Central Banking 21 (April): 351-409. |
| Natalia Emanuel “Sins of Omission: Model-Based Estimates of the Health Effects of Excluding Pregnant Participants from Randomized Controlled Trials,” with Alyssa Bilinski and Andrea Ciaranello. Annals of Internal Medicine 178, no. 6 (April). |
| Fulvia Fringuellotti “Credit and Entrepreneurs' Income,” with Manthos Delis, Maria Iosifidi, and Steven Ongena. Journal of Financial Intermediation 63 (July). |
| Sebastian Heise “How Do Firms in Different Sectors Organize Their Supply Chains?,” with Justin Pierce, Georg Schaur, and Peter Schott.American Economic Review (Papers and Proceedings) 115 (May): 177-81. |
| Hyeyoon Jung “CRISK: Measuring the Climate Risk Exposure of the Financial System,” with Robert Engle and Richard Berner. Journal of Financial Economics 171 (September). |
| Simone Lenzu “Anatomy of the Phillips Curve: Micro Evidence and Macro Implications,” with Luca Gagliardone, Mark Gertler, and Joris Tielens. American Economic Review 115, no. 11 (November): 3941-74. |
| Stephan Luck “The Debt-Inflation Channel of the German (Hyper) Inflation,” with Markus Brunnermeier, Sergio Correia, Emil Verner, and Tom Zimmerman. American Economic Review 115, no. 7 (July): 2111-50. |
| Wilbert van der Klaauw “Everything in Its Own Time: Planning Horizons Vary Across Financial Domains,” with Wändi Bruine de Bruin, Alycia Chin, and David Zimmerman. Journal of Behavioral Decision Making (August). “The Financial Consequences of Undiagnosed Memory Disorders,” with Carole Roan Gresenz, Jean M. Mitchell, Belicia Rodriguez, Crystal Wang, and R. Scott Turner.” Journal of Financial Economics 172 (October). |
