Javier Bianchi
Javier Bianchi
Federal Reserve Bank of Minneapolis
Verified email at mpls.frb.org - Homepage
Title
Cited by
Cited by
Year
Overborrowing and systemic externalities in the business cycle
J Bianchi
American Economic Review 101 (7), 3400-3426, 2011
8842011
Overborrowing, financial crises and ‘macro-prudential’policy?
J Bianchi, EG Mendoza
IMF Working Paper, 2011
434*2011
“Optimal Time-Consistent Macroprudential Policy,”
J Bianchi, EG Mendoza
Journal of Political Economy, 2018
2842018
International reserves and rollover risk
J Bianchi, JC Hatchondo, L Martinez
American Economic Review 108 (9), 2629-70, 2018
222*2018
Efficient bailouts?
J Bianchi
American Economic Review, 2016
1882016
Banks, liquidity management and monetary policy
J Bianchi, S Bigio
National Bureau of Economic Research, 2014
1852014
Macroprudential Policy in a Fisherian Model of Financial Innovation
J Bianchi, E Boz, EG Mendoza
IMF Economic Review 60 (2), 223-269, 2012
892012
Credit externalities: Macroeconomic effects and policy implications
J Bianchi
American Economic Review 100 (2), 398-402, 2010
862010
Exchange rate policies at the zero lower bound
M Amador, J Bianchi, L Bocola, F Perri
National Bureau of Economic Research, 2017
782017
Macroprudential Policy with Leakages
J Bengui, J Bianchi
National Bureau of Economic Research, 2018
55*2018
Fundamentals news, global liquidity and macroprudential policy
J Bianchi, C Liu, EG Mendoza
Journal of International Economics 99, S2-S15, 2016
482016
Fiscal Stimulus under Sovereign Risk
J Bianchi, P Ottonello, I Presno
Federal Reserve Bank of Minneapolis Working Papers, 2019
39*2019
Monetary independence and rollover crises
J Bianchi, J Mondragon
National Bureau of Economic Research, 2018
222018
A Macroprudential Theory of Foreign Reserve Accumulation
F Arce, J Bengui, J Bianchi
National Bureau of Economic Research Working Paper Series, 2019
202019
Reverse speculative attacks
M Amador, J Bianchi, L Bocola, F Perri
Journal of Economic Dynamics and Control 72, 125-137, 2016
202016
Discussion of “The Risk Channel of Monetary Policy”
J Bianchi
International Journal of Central Banking 10 (2), 161-168, 2014
62014
Scrambling for Dollars: International Liquidity, Banks and Exchange Rates
J Bianchi, S Bigio, C Engel
5*2020
Reserve Accumulation, Macroeconomic Stabilization, and Sovereign Risk
J Bianchi, C Sosa-Padilla
National Bureau of Economic Research Working Paper Series, 2020
4*2020
Financial safety nets
J Bengui, J Bianchi, L Coulibaly
International Economic Review 60 (1), 105-132, 2019
42019
A fisherian approach to financial crises: Lessons from the sudden stops literature
J Bianchi, EG Mendoza
Review of Economic Dynamics 37, S254-S283, 2020
32020
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Articles 1–20