A Fresh Look at Central Bank Independence (with Mario I. Blejer)
Cato Journal, Winter 2020.
Falling under the control of a different type of owner: risk taking implications for banks (with Thierno Amadou Barry and Amine Tarazzi)
Applied Economics, 2018.
Pro-cyclical capital regulation and lending (with Markus Behn and Rainer Haselmann)
Journal of Finance, April 2016.
Monetary Policy and the Financial CHOICE Act
Regulating Wall Street: CHOICE Act vs. Dodd-Frank, ed. by M. Richardson, K. Schoenholtz, B. Tuckman, and L. J. White, March 2017.
Soft information and economics activity: Evidence from the Beige Book (with Shibley Sadique, Francis In, and Madhu Veeraraghavan)
Journal of Macroeconomics, September 2013.
Foreign Banks in Syndicated Loan Markets (with Rainer Haselmann)
Journal of Banking and Finance, October 2011.
Institutions and Bank Behavior: Legal Environment, Legal Perception, and the Composition of Bank Lending (with Rainer Haselmann)
Journal of Money, Credit and Banking, August 2010.
Central Banking for the 21st Century: An American Perspective
Post-Crisis Growth and Integration in Europe, edited by E. Notwotny, P. Mooslechner and D. Ritzberger-Grunwald, 2011.
The Power of Central Banks and the Future of the Federal Reserve System (with T.Cooley, K. Schoenholtz, G.D. Smith, and R. Sylla)
Regulating Wall Street The Dodd-Frank Act and the New Architecture of Global Finance, V. Archarya, T. Cooley, M. Richardson and I. Walter, editors, 2011.
Financial Market Response to Monetary Policy Changes in the 1990s (with Thomas Urich)
Contemporary Economic Policy, July 2001.
Commercial Paper, Corporate Finance, and the Business Cycle: A Microeconomic Perspective (with Charles Calomiris and Charles Himmelberg)
Carnegie-Rochester Conference Series on Public Policy, June 1995.
Capital Requirements and Shifts in Commercial Bank Portfolios (with Joseph Haubrich)
Economic Review, Federal Reserve Bank of Cleveland, 1993.
Were Price Changes During the Great Depression Anticipated? Evidence from Nominal Interest Rates (with Martin Evans)
Journal of Monetary Economics, August 1993.
Inflation Regimes and the Sources of Inflation Uncertainty (with Martin Evans)
Journal of Money, Credit and Banking, August 1993.
Interpreting the Movements in Short-Term Interest Rates (with Martin Evans)
Journal of Business, July 1992.
Loan Commitments and Monetary Policy (with George Sofianos and Arie Melnik)
Journal of Banking and Finance, October, 1990.
Relative Price Variability and Non‑Uniform Inflationary Expectations (with Alex Cukierman)
Journal of Political Economy, February 1982.
Time Variation in the Relationship between Inflation and Interest Rates (with Kenneth Garbade)
Journal of Monetary Economics, October 1978.