연구 논문 (Working Papers)
“How Do Macroaggregates and Income Distribution Interact Dynamically? A Novel Structural Mixed Autoregression with Aggregate and Functional Variables” (co-authored with Yoosoon Chang and Joon Park), listed on SSRN’s Top Downloads List for ERN: Other Macroeconomics: Monetary & Fiscal Policies (Topic), Methodology (Sub-Topic), Poverty, Income Distribution & Income Assistance eJournal,
“US Monetary Policy Uncertainty Spillover and the Role of Exchange Rate Regime” (co-authored with Yongseung Jung and Yeonggyu Yun), listed on SSRN’s Top Downloads List for ERN: Business Cycles (Topics), Forecasting & Simulation (Monetary), Trade & Foreign Exchange Policies in Developing Economics (Topic), SIRN: Subject Matter eJournals and Social Insurance Research Network, PSN: Response to Financial Crisis (Comparative-Monetary)(Topics).
학술지 게재 논문 (Articles in Academic Journals)
“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.
“미래대응금융정책방향: 인구구조 변화, 기후변화, 기술혁신을 중심으로” (이형주, 박주영, 최상아, 성보경, 강주엽과 공저) 2025, 한국경제포럼 17(4), 77-107.
“Trilemma versus Dilemma: Monetary Autonomy and Long-Term Interest Rate Independence,” (coauthored with Kyunghun Kim), 2024, Review of International Economics.
“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 121, 102804.
“Long Term Determinants of Valuation Effects,” (co-authored with Kyunghee Min), 32 (5), Review of International Economics, 12651.
“Government Spending News and Surprise Shocks: It’s the Timing and Persistence,” (co-authored with Jihye Kang), 2022. Journal of Macroeconomics 73.
“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,” (co-authored with Aaron Mehrotra), 2022, Journal of International Money and Finance 128.
“한국은행의 고용 목표 도입” (이예일과 공저), 2021, 한국경제 포럼14(2), 57-97.
“기축 통화국과 비기축 통화국 간 재정여력 차이” 2021, 해외재정동향 및 이슈 분석, 61-75.
“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.
“Delayed Overshooting Can Still Be a Puzzle After the 1980s” (co-authored with Jihye Ahn), 2021, Economics Letters 199, 109706.
“Effects of Monetary Policy Shocks on Exchange Rate in Emerging Countries,” (co-authored with Kuntae Lim), 2021, The World Economy 45(4).
“Monetary Policy Shocks and Delayed Overshooting in Farm Prices and Exchange Rates,” (co-authored with Jihae Kim), 2021, International Review of Economics and Finance 71, 620-628.
“코로나19로 인한 경제 환경 변화와 재정정책의 변화와 재정 정책의 효과,” (김용건과 공저) 한국경제 포럼13(4).
“Monetary Policy Shocks and Exchange Rates in Asian Countries,” (co-authored with Jihae Kim and Donghyun Park), 2020, Japan and the World Economy 56, 101041.
“구조 VAR 모형을 이용한 한국의 재정정책 효과 분석” (김용건과 공저) 한국 경제의 분석 패널 26(3) 61-125..
“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.
“Plausibility of Local Currency Contribution to CMIM” (co-authored with Woongji Im) 2020, Seoul Journal of Economics 33(3).
“Exchange Rate and Sectoral Trade Balance Dynamics: Empirical Evidence from Eastern African Panel Data,” (co-authored with Fetene Bogale) International Trade Journal, 2020.
“Macroeconomic Effects of Macropruential Policies: Evidence from LTV and DTI Policies in Korea,” (co-authored with Junbeom Oh), Japan and the World Economy 53, 2020.
“동아시아 통합지수 개발” (김종호, 정재호와 공저), 아시아리뷰 9(2), 293-305, 2020.
“한중일 경제통합지수 개발” (정재호와 공저), 아시아리뷰 9(2), 307-331, 2020.
“Macroprudential Policy in Asian Countries,” (co-authored with Jihae Kim and Aaron Mehrotra), Journal of Asian Economics 65, 101-149, 2019.
“소득주도 성장 논란과 향후 방향” 2019, 경제 논집 58(1), 27-38.
“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.
“Asia’s Rebalancing and Growth,” (co-authored with Jong-Wha Lee and Warwick J. McKibbin), 2018, the World Economy 41(10), 2709-2731.
“Finance, Growth, and Inequality: New Evidence from the Panel VAR Perspective,” (co-authored with Hyeok Jeong) 2018, Seoul Journal of Economics 31(2), 121-143.
“Capital Control and Monetary Policy in Asian Emerging Market Economies,” (co-authored with Yongseung Jeong and Doo Yong Yang), Asian Economic Papers 17(2), 111-134.
“International Capital Mobility: Regional versus Global Perspective,” (co-authored with Sunghyun H. Kim and Yoonseok Choi) 2018, Review of World Economics 154(1), 157-176.
“Foreign Exchange Rate and Trade Balance Dynamics in East African Countries,” (co-authored with Fetene Bogale Hunegnaw), 2017, The Journal of International Trade & Economic Development. 26(8), 979-999.
“금융글로벌화와 금융실효환율” (민경희, 이윤석과 공저), 2017, Journal of Economic Theory and Econometrics 28(2), 84-111.
“South and North Korea: Economic Challenges and Policy Issues,” (co-authored with Byung-Yeon Kim), 2017, Emerging Market Finance and Trade, 53(11), 2395-2396.
“Optimal Macroprudential Policies and House Prices in Korea,” (co-authored with ongseung Jung and Doo Yong Yang) Emerging Market Finance and Trade 53(11), 2017, 2419-2439.
“Effects of Monetary Policy Shocks on Farm Prices and Exchange Rates in Korea,” (co-authored with Jihae Kim), 2017, Emerging Market Finance and Trade 53(11), 2450-2462.
“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.
“Effects of Government Spending Shocks in China, Japan, and Korea, (coauthored with Minju Jeong and Jihye Kang) 2017, China Economic Journal 10 (2), 194-225.
“한국은행의 역할과 정책수단: 금융안정정책을 중심으로,” (김인준, 김성현, 김진일, 신관호 공저), 2017, 한국경제패널 23(1), 185-277.
“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.
“The RMB debate: Review of Issues and Empirical Analysis of Exchange Rate Effects” (co-authored with Yoonbai Kim), 2016, The World Economy 39(10), 1539-1557.
“Reexamining the Exchange Rate Exposure Puzzle by Classifying Exchange Rate Risk into Two Types,”(co-authored with Sammo Kang and Jeong Wook Lee), 2016, Global Economy Review 45(2), 116-133.
“Country Characteristics and Effects of Government Consumption Shocks on Current Account and Real Exchange Rate,” 2015, Journal of International Economics 97 (2), 436-447.
"International Macroeconomic Fluctuations," (co-authored with Jaewoo Lee), 2015, Macroeconomic Dynamics 19, 1509-1539.
“Imbalances over the Pacific,” (co-authored with Jaewoo Lee), 2015, Journal of Macroeconomics 45, 173-285.
“물가안정목표와 금융안정목표의 상충과 조화: 통화정책과 거시건전성정책의 효과,” 2015, 한국경제포럼, 제 8권 3호.
“국제금융/개방경제 거시경제학의 최근 동항” 2015, 경제논집, 54(1), 255-275.
“International Monetary System and Available International Policy Options for Emerging Countries,” 2015, Seoul Journal of Economics 28(2), 199-211.
“양적 완화, 엔저 현상, 금융 불안과 한국의 정책적 대응,” 2014.
자본통제와 거시건전성 조치가 자본유출입에 미치는 영향 : 자본자유화 지수 추정을 중심으로 (양두용, 오준범과 공저), 한국경제의 분석 20(3), 2014.
“Financing Investment in East Asia: Regional or Global Saving?” (co-authored with Sunghyun H. Kim and Yoonseok Choi) Japan and the World Economy 31, 1-7, 2014
“Effects of Monetary Policy Shocks on Exchange in Korea: Capital Flows in Bond vs. Stock Markets,” Asian Development Review, 2014.
“일반 균형 동학 모형을 이용한 국가 채무 증가의 거시 경제적 영향 분석,” (김성현과 공저) Journal of Economic Theory and Econometrics 24(4), 366-392, 2013.
“Determinants of International Capital Flows in Korea: Push vs. Pull Factors,” (co-authored with Sunghyun Kim and Yoonseok Choi) Korea and the World Economy 14 (3), 447-474, 2013.
“Are Asian Business Cycles Different?” (co-authored with Yongseng Jung, Doo Yong Yang, and Tack Yun), Asian Economic Papers 12 (3), 94-113, 2013.
“Economic Integration and Business Cycle Synchronization in Asia,” (co-authored with Chi Gong), Asian Economic Papers 12(1), 76-99, 2013.
“International Capital Flows, Boom-Bust Cycles, and Business Cycle Synchronization in the Asia Pacific Region” (co-authored with Sunghyun H. Kim), Contemporary Economic Policy 31(1), 191-211, January 2013.
“International Monetary Transmission in East Asia: Floaters, Non-Floaters, and Capital Controls,” (co-authored with Doo Yong Yang) Japan and the World Economy 24(4), 305-316, 2012.
“Are Capital Controls Effective? The Case of the Republic of Korea,” (co-authored with Doo Yong Yang) Asian Development Review 29(2), 96-133, 2012.
“Measuring Price Elasticity of Sectoral Imports” (co-authored with Byung Hee Lee and Soo Kyung Park) Pacific Economic Review 17(2), 181-203, 2012.
“환율의 거시경제적 결정요인 분석,” 경제논집 51(1), 1-38, 2012.
“Real and Financial Integration in East Asia,” (co-authored with Jong-Wha Lee), Review of International Economics 20(2), 332-349, 2012.
“Financial and Monetary Cooperation in Asia: Challenges after the Global Financial Crisis,” (co-authored with Doo Yong Yang), International Economic Journal 25(4), 573-387, 2011.
“Monetary Instrument Problem Revisited: The Role of Fiscal Policy,” Seoul Journal of Economics, 24(4), 525-550, 2011.
“해외 충격이 한국 경기 변동에 미치는 영향,” 국제금융연구 1(1), 1-20, 2011.
“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(1), 293-315, 2011.
“Ties Binding Asia, Europe, and the USA,” (co-authored with Jong-Wha Lee and Cyn-Young Park), China & World Economy 19(1), 24-46, 2011.
“International Economic Fluctuations in Korea,” Seoul Journal of Economics 24(1), 1-20, 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.
“자본시장의 글로벌화와 한국 통화정책의 독립성” (신관호와 공저), 2010, 한국개발연구.
“Consumption Smoothing Channels in Open Economies,” (co-authored with Pierfederico Asdrubali), Journal of Banking and Finance 33(12), 2293-2300, 2009.
“Do Capital Inflows Matter to Asset Prices? The Case of Korea,” (co-authored with Doo Yong Yang), Asian Economic Journal 23(3), pp. 323-348, 2009.
“Fear of Floating in East Asia” (co-authored with Sunghyun H. Kim and Yunjong Wang), Pacific Economic Review, 2009.
“Factor-Augmented VAR (FAVAR) Model for Monetary Policy Analysis in Korea,” Journal of Economic Theory and Econometrics 20 (3), pp. 1-30, September 2009. (“요인 활용 다변수 자기 회구 모형 (FAVAR)을 이용한 한국의 통화 정책 파급 경로 추정 모형 개발,” 계량경제학보)
“생산 기술 충격과 경기 변동,” 국제 경제 연구 14(3), 129-151, 2008.
“The Economic Effects of the EU Budget: A VAR Analysis” (co-authored with Pierfederico Asdrubali), Journal of Common Market Studies 46(5), 933-968, 2008.
“Incomplete Intertemporal Consumption Smoothing and Incomplete Risksharing,” (co-authored with Pierfederico Asdrubali), Journal of Money, Credit, and Banking 40, 1521-1531, 2008.
“OECD 국가에서 재정 지출이 경상수지와 실질 환율에 미치는 영향,” 대외경제연구 12(1), 191-213, 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), 362-287, 2008.
“Demographic Changes, Saving, and Current Account: An Analysis of Panel VAR Model,” (co-authored with Jong-Wha Lee), Japan and the World Economy 20 (2), 236-256, 2008.
통화 정책 충격의 거시 경제적 효과에 관한 실증 분석 문헌 - 통화 정책 충격의 식별에 관한 문제를 중심으로 -, 금융 학회지 12권 2호, 95-126, 2007..
“Demographic Changes, Saving, and Investment in East Asia” (co-authored with Jong-Wha Lee), Asian Economic Papers 21(1), 71-90, 2007.
“Saving, Investment, and International Capital Mobility in East Asia,” (co-authored with Sunghyun H. Kim and Yunjong Wang), Japan and the World Economy 19 (2), 279-291, 2007.
“Financial Panic and Exchange Rate Overshooting during Currency Crises,” (co-authored with Sunghyun H. Kim), International Economic Journal 21(1), 71-90, 2007.
“Counter-Cyclical, Counter-Inflation Policy and the Comovement of Money Growth,” Topics in Macroeconomics 6 (2), Article 1, 2006.
“인구 구조 변화가 저축과 경상수지에 미치는 영향,” (공저자: 이종화) 2006, 한국 경제의 분석
“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.
“The Effects of the Yen/Dollar Exchange Rate on the Korean Economy,” (co-authored with Sammo Kang and Yunjong Wang), International Journal of Finance and Economics 10, 167-183, 2005.
“기간간 소비 평탄화와 위험 공유에 관한 연구,” 경제학 연구 53 (4), 91-117, 2005.
“Monetary Policy Shocks and Real Farm Price: Evidence from Identification Scheme Using Federal Funds Rate Shocks,” (with Doo Bong Han) , Korean Economic Review 21, 163-178, 2005.
“Global v.s Regional Risksharing in East Asia,” (coauthored with Sunghyun H. Kim and Yunjong Wang), Asian Economic Papers 3 (3), 2004.
“Dynamic Risksharing in the US and Europe,” coauthored with Pierfederico Asdrubali, Journal of Monetary Economics, 51 (4), 089-836, 2004.
“Inflation Volatility, Government Debt, and the Fiscal Theory of the Price Level,” Economics Letters 85(1), 117-121, 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, ranked in top-25 requested papers of 2003 of Journal of International Economics.
“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, ranked in top-10 requested papers of 2001 of Journal of Monetary Economics and top-25 requested papers of 2002 of Journal of Monetary Economics.
“Effects of Monetary Policy Shocks on the Trade Balance in Small Open European Countries,” Economics Letters, Vol. 71(2), 197-203, 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, ranked in top-10 requested papers of 2000 of Journal of Monetary Economics.
“The Effects of Monetary Policy Shocks in a Small Open Economy: The Case of Korea,” Economic Papers, Vol. 3, pp. 91-108, 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.
“소규모 개방경제에서의 통화정책 충격의 영향 :한국경제의 경우,” 경제분석, 5권 4호, pp. 117-135, 1999.
단행본, 연구 보고서 (Books, Research Report):
비은행권 거시건전성 관리 강화 (강경후, 김진일, 신관호, 신용상, 윤선중, 이지언, 장민, 한재준과 공저), 한국금융학회, 2020.
한국은행의 역할 재정립 및 정책수단 확보 방안, (김인준, 김성현, 김진일, 신관호와 공저) 한국경제학회, 2016.
통화정책이 환율에 미치는 영향분석과 정책적 시사점: 기축통화보유 여부를 중심으로 (윤덕룡, 이진희와 공저), 대외경제정책 연구원 연구보고서, 18-06.
국제금융시장 통합이 한국 통화 정책과 장기금리에 미치는 영향 및 정책 시사점 (김경훈, 양다영, 강은정과 공저), 대외경제정책 연구원 연구보고서 17-11.
우리나라의 환율변동 요인분석과 안정을 위한 정책방향, (윤덕룡, 오승환과 공저), 대외경제정책 연구원 연구보고서 10-06.
한국적 거시개방경제모형의 분석 (양두용, 정용승과 공저), 2016, DSGE 연구센터.
Capital Account Liberalization and Macroeconomic Performance: The Case of Korea (co-authored with Sunghyun H. Kim and Yunjong Wang), 2001, Korea Institute of International Economic Policy, Seoul, Korea.
Understanding the Determinants of Capital Flows in Korea: An Empirical Investigation (co-authored with Sammo Kang, Sunghyun H. Kim, and Yunjong Wang), 2002, Korea Institute of International Economic Policy, Seoul, Korea.
Saving, Investment, and International Capital Mobility in East Asia (co-authored with Sunghyun H. Kim and Yunjong Wang), 2004, Korea Institute of International Economic Policy, Seoul, Korea.
편저 (Edited Books):
Volatile Capital Flows in Korea: Current Policies and Future Responses, edited by Kyuil Chung, Soyoung Kim, Hail Park, Changho Choi, and Hyun Song Shin, Palgrave Macmillan, 2014.
단행본 게재 연구 논문 (Articles in Books):
“혁신성장과 거시경제정책,” 혁신의 시작, 2022, 매일경제 신문사, 25-62.
“글로벌 경쟁 시대의 미래 금융 전략” 한국경제, 혼돈의 성찰, 2019, 21세기 북스. 93-107.
“새로운 외환위기를 대비하라” 2019 한국경제 대전망, 2018, 21세기북스, 115-123.
“Chapter 4: Plausibility of Local Currency Contribution to the CMIM,” in Local Currency
Contribution to the Chiang Mai Initiative Multilateralisation (AMRO Research Collaboration Program RCP/19-01,” AMRO. 2019.
“Maintaining Price and Financial Stability by Monetary and Macroprudential Policy – Evidence from Asia and the Pacific,” (co-authored with Aaron Mehrotra) in BIS Papers No. 88. Expanding the Boundaries of Monetary Policy in Asia and the Pacific. 2015.
“Fear of Floating in East Asia,” 2004 (co-authored with Sunghyun H. Kim and Yunjong Wang), Monetary and Exchange Rate Arrangement in East Asia, Y. Oh., D.R. Yoon, T.D. Willet, eds., Korea Institute for International Economic Policy, 229-249.
“인구 고령화와 금융 시장의 역할,” 2005, 인구 구조 고령화와 거시 경제, 문형표 (편), 한국 개발 연구원, 196-220.
“International Capital Flows and Business Cycle in the Asia Pacific Region” 2005, (co-authored with Sunghyun H. Kim and Yunjong Wang), A New Financial Market Structure for East Asia, Y.C. Park, T. Ito, and Y. Wang, eds., Edward Edgar Publishiing Ins., MA. USA, 139-164.
“Inflation Targeting in Korea: A Model of Success?” (co-authored with Yung Chul Park), 2006, Monetary Policy in Asia: Approaches and Implementation, BIS Papers No. 31, 140-167.
“Regional and Global Financial Integration in East Asia,” (co-authored with Jong-Wha Lee and Kwanho Shin), 2008, China, Asia, and the New World Economy, edited by B. Eichengreen, C. Wyplosz, and Y. Park, Oxford University Press.
“Global vs. Regional Risk Sharing in East Asia,” (co-authored with Pierfederico Asdrubali), 2011, The Dynamics of Asian Financial Integration: Facts and Analytics, edited by M. Devereux, P. Lane, C-Y Park, and S-J Wei, Routledge-ADB.
“International Capital Mobility of East Asia: Is Domestic Investment Financed by Regional or Global Saving?” (co-authored with Sunghyun H. Kim and Cyn-Young Park), 2011, The Dynamics of Asian Financial Integration: Facts and Analytics, edited by M. Devereux, P. Lane, C-Y Park, and S-J Wei, Routledge-ADB.
“국제통화체제 개편논의와 신흥시장국의 선택” (양두용과 공저), Chapter 4, 미래 한국의 선택 글로벌 상생, 동아일보사, 2012.
“VAR Models for Macroeconomic Policy Analysis,” Handbook of Research Methods and Applications in Empirical Macroeconomics, edited by N. Hashimzade and M.A. Thornton, Edgar Elgar Publishing, 2013, pp. 555-574.