Pontos | Posição | |
---|---|---|
CEF.UP+NIPE (average of all rankings) (2012) | 48.92 | 25/501 |
ABS (2010) | 100.0 | 23/288 |
Australian RC (2010) | 100.0 | 45/479 |
Axarloglou and Theoharakis (2003) | 16.62 | 20/94 |
Carlos III (2010) | 20.0 | 66/153 |
CNRS (2008) | 80.0 | 33/336 |
Combes and Linnemer (2003) | 67.0 | 11/253 |
Engemann and Wall (2009) | 4.22 | 41/65 |
Ideas discounted recursive impact factor (2012) | 18.45 | 32/396 |
ISI, JCR SSE, Article Influence Score (2010) | 14.97 | 57/316 |
ISI, JCR SSE, Impact Factor (2010) | 15.47 | 143/388 |
Kalaitzidakis et al (2010) | 11.95 | 21/196 |
Kodrzycki and Yu (2006) | 18.22 | 24/177 |
Lubrano et al (2003) | 80.0 | 22/211 |
Qualis (2008) | 100.0 | 23/200 |
Ritzberger (2008) | 14.87 | 24/153 |
Schneider and Ursprung (2008) | 80.0 | 25/278 |
Source Normalized Impact per Paper (SNIP) (2011) | 19.46 | 87/476 |
Tinbergen Institute (2011) | 25.0 | 115/119 |
Article Influence Score (2021) | 1.91 | 84/409 |
Article Influence Score (2019) | 1.7 | 82/428 |
Impact Factor (2021) | 1.96 | 239/409 |
Impact Factor (2019) | 1.36 | 257/440 |
Impact Factor (5 year) (2021) | 2.83 | 186/409 |
Impact Factor (5 year) (2019) | 2.36 | 163/428 |
SJR - Scimago (2021) | 1.8 | 99/558 |
SJR - Scimago (2019) | 2.4 | 71/549 |
Count (2021) | 1.0 | 458/662 |
Institutional Arrangements and Inflation Bias: A Dynamic Heterogeneous Panel Approach
Vasco Gabriel,
Ioannis Lazopoulos,
Diana Lima
vol. 55, 2023, p. 43-76.
The Effect of Inflation on Wage Inequality: A North–South Monetary Model of Endogenous Growth with International Trade
Óscar Afonso,
Tiago Neves Sequeira
vol. 55, 2023, p. 215-249.
What Does the Cross-Section Tell about Itself? Explaining Equity Risk Premia with Stock Return Moments
Ian Cooper,
Liang Ma,
Paulo Maio
vol. 54, 2022, p. 73-118.
Endogenous Growth and Real Effects of Monetary Policy: R&D and Physical Capital Complementarities
Pedro Mazeda Gil,
Gustavo Iglésias
vol. 52, 2020, p. 1147-97.
One Size Fits All? Monetary Policy and Asymmetric Household Debt Cycles in U.S. States
Bruno Albuquerque
vol. 51, 2019, p. 1309-1353.
Sticky Price Models, Durable Goods, and Real Wage Rigidities
Alper Çenesiz,
Luís Guimarães
vol. 51, 2019, p. 721-737.
Asset Pricing with a Bank Risk Factor
João Pedro Pereira,
António Rua
vol. 50, 2018, p. 993-1032.
Optimal Dynamic Capital Requirements
Caterina Mendicino,
Kalin Nikolov,
Javier Suarez,
Dominik Supera
vol. 50, 2018, p. 1271-1297.
The Legacy and the Tyranny of Time: Exit and Re-entry of Sovereigns to International Capital Markets
Luca Agnello,
Vitor Castro,
Ricardo Sousa
vol. 50, 2018, p. 1969-1994.
The Risk-Taking Channel of Monetary Policy: Exploring All Avenues
Diana Bonfim,
Carla Soares
vol. 50, 2018, p. 1507-1541.
Bank Capital Regulation of Trading Portfolios: An Assessment of the Basel Framework
Gordon Alexander,
Alexandre M. Baptista
vol. 49, 2017, p. 603-634.
Financial Development, Credit, and Business Cycles
Tiago Pinheiro,
Francisco Rivadeneyra,
Marc Teignier
vol. 49, 2017, p. 1653-1665.
Like Father Like Sons? The Cost of Sovereign Defaults in Reduced Credit to the Private Sector
Rui Pedro Esteves,
Joao Tovar Jalles
vol. 48, 2016, p. 1515-1545.
Capital Inflows and the U.S. Housing Boom
Filipa Sa,
Tomasz Wieladek
vol. 47, 2015, p. 221-256.
Does Securitization of Corporate Loans Lead to Riskier Lending?
Vitaly M. Bord,
João Santos
vol. 47, 2015, p. 415-444.
Heterogeneous Inflation Expectations and Learning
Carlos Madeira,
Basit Zafar
vol. 47, 2015, p. 867-896.
Banks` Liquidity and the Cost of Liquidity to Corporations
Vitaly M. Bord,
João Santos
vol. 46, 2014, p. 13-45.
Heterogeneous Expectations, Optimal Monetary Policy, and the Merit of Policy Inertia
Emanuel Gasteiger
vol. 46, 2014, p. 1535-1554.
Investment Dynamics with Information Costs
Fabio Verona
vol. 46, 2014, p. 1627-1656.
Monetary Regime Switches and Central Bank Preferences
Davide Debortoli,
Ricardo Nunes
vol. 46, 2014, p. 1591-1625.
A Model of Tiered Settlement Networks
Jonathan Chiu,
Miguel Molico,
James T. E. Chapman
vol. 45, 2013, p. 327-347.
The Impact of the 2007 Liquidity Shock on Bank Jumbo Mortgage Lending
Francisco Covas,
Paul Calem,
Jason Wu
vol. 45, 2013, p. 59-91.
Inflation and Welfare in Long-Run Equilibrium with Firm Dynamics
Alexandre Janiak,
Paulo Santos Monteiro
vol. 43, 2011, p. 795-834.
Uncertainty, Inflation, and Welfare
Jonathan Chiu,
Miguel Molico
vol. 43, 2011, p. 487-512.
Inflation Dynamics: The Role of Expectations
Ricardo Nunes
vol. 42, 2010, p. 1161-1172.
Simple Monetary Rules under Fiscal Dominance
Michael Kumhof,
Ricardo Nunes,
Irina Yakadina
vol. 42, 2010, p. 63-92.
The Cost Channel Reconsidered: A Comment Using an Identification-Robust Approach
Vasco Gabriel,
Luis Martins
vol. 42, 2010, p. 1703-1712.
Credit Card Debt and Default over the Life Cycle
Paula Lopes
vol. 40, 2008, p. 769-790.
News and Business Cycles in Open Economies
Nir Jaimovich,
Sergio Rebelo
vol. 40, 2008, p. 1699-1711.
The Role of Interbank Markets in Monetary Policy: A Model with Rationing
Xavier Freixas,
José Jorge
vol. 40, 2008, p. 1151-1176.
Understanding the Large Negative Impact of Oil Shocks
Luís Francisco Aguiar-Conraria,
Yi Wen
vol. 39, 2007, p. 925-944.
Does Political Instability Lead to Higher Inflation? A Panel Data Analysis
Ari Aisen,
Francisco Veiga
vol. 38, 2006, p. 1379-1389.