Soyoung Kim
서울대학교 경제학부 교수
Professor, Department of Economics, Seoul National University
제 10대 금융위원회 부위원장 (2022.5-2025.5)
The 10th Vice Chairman, Financial Services Commission of Korea, 2022.5-2025.5
Contact
E-Mail: soyoungkim@snu.ac.kr
Links
Homepage: Soyoung Kim's Homepage (김소영 교수 홈페이지)
Google Scholar Page: https://scholar.google.com/citations?user=tSiUEh0AAAAJ&hl=en&oi=ao
Ideas/Repec Page: https://ideas.repec.org/e/pki18.html
나무위키 / Namu Wiki Page : 김소영(교수) - 나무위키 / Soyoung Kim (Professor) - NamuWiki
“Asymmetric International Risk Sharing and the Business Cycle,” (co-authored with Pierfederico Asdrubali and Haerang Park), June 2025, Journal of International Money and Finance, 103326.
“Governance Arrangements and the Use of Macroprudential Policy,” (co-authored with Aaron Mehrotra and Seri Shim), April 2025, Journal of International Money and Finance 154, 103307.
“Impacts of Social Distancing Policy and Vaccination During the COVID-19 Pandemic in the Republic of Korea, (co-authored with Kijin Kim, Donghyun Lee, and Cyn-Young Park), 2023, Journal of Economic Dynamics and Controls 15, 104642.
"Effects and Conduct of Macroprudential Policy in China,” (co-authored with Seri Shim and Hongyi Chen), 2023, Journal of Financial Stability 66, 101124.
“Risk Sharing Channels in OECD Countries: A Heterogeneous Panel VAR Approach,” (co-authored with Pierfederico Asdrubali, Filippo Maria Pericoli, and Pilar Poncela) 2023, Journal of International Money and Finance 131, 102804.
“Dynamic Interactions between Trade Globalization and Financial Globalization: A Heterogeneous Panel VAR Approach,” (co-authored with Seri Shim and Donghyun Park) 2022. Journal of International Money and Finance 122.
“Real Business Cycles in Emerging Countries: Are Asian Business Cycles Different From Latin American Business Cycles?” 2022. (co-authored with Seoulwoong Hwang) Journal of International Money and Finance 129.
“From a Quantity to an Interest Rate-Based Framework: Multiple Monetary Policy Instruments and Their Effects in China,” (co-authored with Hongyi Chen), 2022, Journal of Money, Credit, and Banking. 54(7), pages 2103-2123.
“Examining Macroprudential Policy and Its Macroeconomic Effects – Some New Evidence,” 2022, (co-authored with Aaron Mehrotra) Journal of International Money and Finance 128.
“Offshore EME Bond Issuance and the Transmission Channels of Global Liquidity,” (co-authored with Hyun Song Shin), 2021, Journal of International Money and Finance.112, 102336.
“Do Inflation Targeting Central Banks Adjust Inflation Targets to Meet the Target?” (co-authored with Geunhyung Yim) 2020, Journal of Economic Dynamics and Controls 113.
“Effects of Monetary Policy Shocks on Exchange Rate in Small Open Economies,” (co-authored with Kuntae Lim), 2018, Journal of Macroeconomics 56, 324-339.
“Business Cycle Synchronization in Emerging and Developing Countries: Regional or Global Integration? Trade or Financial Integration? (co-authored with Chi Gong), 2018, Journal of International Money and Finance 84, 42-57.
“Effects of Macroprudential and Monetary Policies – Evidence from Four Inflation Targeting Economies,” (co-authored with Aaron Mehrotra), 2018, Journal of Money, Credit, and Banking 50(5), 967-992.
“Managing Price and Financial Stability Objectives in Inflation Targeting Economies in Asia and the Pacific,” (co-authored with Aaron Mehrotra), 2017, Journal of Financial Stability 29, 106-116.
“What is Learned from a Currency Crisis, Fear of Floating or Hollow Middle? Identifying Exchange Rate Arrangements in Recent Crisis Countries,”2016, International Journal of Central Banking 12(4), 105-146.
“Country Characteristics and Effects of Government Consumption Shocks on Current Account and Real Exchange Rate,” Journal of International Economics 97, 436-447, 2015.
"International Macroeconomic Fluctuations: A New Open Economy Macroeconomics Interpretation," (co-authored with Jaewoo Lee), Macroeconomic Dynamics 19(7), 2015.
“Real and Financial Integration in East Asia,” (co-authored with Jong-Wha Lee), Review of International Economics 20(2), 332-349, 2012.
“The Impact of Capital Inflows on Emerging Asian Economies: Is Too Much Money Chasing Too Little Good?” (co-authored with Doo Yong Yang), Open Economies Review 22(2), 293-315, 2011.
“Emerging Asia: Decoupling or Recoupling,” (co-authored with Jong-Wha Lee and Cyn-Young Park), The World Economy 34(1), 23-53, 2011.
“Local Persistence and the PPP Hypothesis,” (co-authored with Luiz Lima), Journal of International Money and Finance 29 (3), 555-569, 2010.
“Consumption Smoothing Channels in Open Economies,” (co-authored with Pierfederico Asdrubali), Journal of Banking and Finance 33(12), 2293-2300, 2009.
“Incomplete Intertemporal Consumption Smoothing and Incomplete Risksharing,” (co-authored with Pierfederico Asdrubali), Journal of Money, Credit, and Banking 40, 1521-1531, 2008.
“On the Empirics of International Smoothing,” (co-authored with Pierfederico Asdrubali), Journal of Banking and Finance 32, 374-381, 2008.
“Twin Deficit or Twin Divergence? Fiscal Policy, Current Account and Real Exchange Rate in the U.S.” (co-authored with Nouriel Roubini), Journal of International Economics 74(2), 362-383, 2008.
“Counter-Cyclical, Counter-Inflation Policy and the Comovement Properties of Money Growth,” B.E. Journal of Macroeconomics (Topics) 6 (2), Article 1, 2006.
“Financial Integration and Consumption Risksharing in East Asia,” (co-authored with Sunghyun H. Kim and Yunjong Wang), Japan and the World Economy 18, 143-157, 2006.
“Monetary Policy, Foreign Exchange Policy, and Delayed Overshooting,” Journal of Money, Credit, and Banking 37, 775-782, 2005.
“Dynamic Risksharing in the US and Europe,” coauthored with Pierfederico Asdrubali, Journal of Monetary Economics, 51 (4), 089-836, 2004.
“Macroeconomic Effects of Capital Account Liberalization: The Case of Korea,“ coauthored with Sunghyun H. Kim and Yunjong Wang, Review of Development Economics 8(4), 634-639, 2004.
“Structural Shocks and the Fiscal Theory of the Price Level in the Sticky Price Model,” Macroeconomic Dynamics, Vol. 7 (5), 759-782, 2003.
“Monetary Policy, Foreign Exchange Intervention, and the Exchange Rate in a Unifying Framework,” Journal of International Economics, Vol. 60, 355-386, 2003.
“Monetary Policy Rules and Business Cycles,” Scandinavian Journal of Economics, Vol. 105 (2), 221-245, 2003.
“Nominal Revaluation of Cross-Border Assets, Terms of Trade, International Portfolio Diversification, and International Risk Sharing,” Southern Economic Journal, Vol. 69 (2), 327-334, 2002.
“Exchange Rate Stabilization in the ERM: Identifying European Monetary Policy Reactions,” Journal of International Money and Finance, Vol. 21 (3), 413-434, 2002.
“International Transmission of U.S. Monetary Policy Shocks: Evidence from VAR’s,” Journal of Monetary Economics, Vol. 48 (2), 339-372, 2001.
“Exchange Rate Anomalies in the Industrial Countries: A Solution with a Structural VAR Approach (co-authored with Nouriel Roubini),” Journal of Monetary Economics, Vol. 45, pp. 561-586, 2000.
“Do Monetary Policy Shocks Matter in the G-7 Countries? Using Common Identifying Assumptions about Monetary Policy across Countries,” Journal of International Economics, Vol.48 (2), pp.387-412, 1999.