Seuraa
Arvind Krishnamurthy
Arvind Krishnamurthy
Vahvistettu sähköpostiosoite verkkotunnuksessa stanford.edu - Kotisivu
Nimike
Viittaukset
Viittaukset
Vuosi
The effects of quantitative easing on interest rates: channels and implications for policy
A Krishnamurthy, A Vissing-Jorgensen
Brookings Papers on Economic Activity 2 (Fall), 2011
22572011
The aggregate demand for treasury debt
A Krishnamurthy, A Vissing-Jorgensen
Journal of Political Economy 120 (2), 233-267, 2012
17852012
Intermediary asset pricing
Z He, A Krishnamurthy
American Economic Review 103 (2), 732-770, 2013
16822013
International and domestic collateral constraints in a model of emerging market crises
RJ Caballero, A Krishnamurthy
Journal of monetary Economics 48 (3), 513-548, 2001
1129*2001
Collective risk management in a flight to quality episode
RJ Caballero, A Krishnamurthy
The Journal of Finance 63 (5), 2195-2230, 2008
9762008
A model of capital and crises
Z He, A Krishnamurthy
The Review of Economic Studies 79 (2), 735-777, 2012
7042012
Global imbalances and financial fragility
RJ Caballero, A Krishnamurthy
American Economic Review 99 (2), 584-588, 2009
6422009
The bond/old-bond spread
A Krishnamurthy
Journal of financial Economics 66 (2-3), 463-506, 2002
5882002
Sizing up repo
A Krishnamurthy, S Nagel, D Orlov
The journal of finance 69 (6), 2381-2417, 2014
5472014
Excessive dollar debt: Financial development and underinsurance
RJ Caballero, A Krishnamurthy
The Journal of Finance 58 (2), 867-893, 2003
517*2003
ECB policies involving government bond purchases: Impact and channels
A Krishnamurthy, S Nagel, A Vissing-Jorgensen
Review of Finance 22 (1), 1-44, 2018
4342018
How debt markets have malfunctioned in the crisis
A Krishnamurthy
Journal of Economic Perspectives 24 (1), 3-28, 2010
4292010
Bubbles and capital flow volatility: Causes and risk management
RJ Caballero, A Krishnamurthy
Journal of monetary Economics 53 (1), 35-53, 2006
3902006
Amplification mechanisms in liquidity crises
A Krishnamurthy
American Economic Journal: Macroeconomics 2 (3), 1-30, 2010
3692010
How credit cycles across a financial crisis
A Krishnamurthy, T Muir
National Bureau of Economic Research, 2017
356*2017
Limits of arbitrage: Theory and evidence from the mortgage‐backed securities market
X Gabaix, A Krishnamurthy, O Vigneron
The Journal of Finance 62 (2), 557-595, 2007
3452007
A macroeconomic framework for quantifying systemic risk
Z He, A Krishnamurthy
American Economic Journal: Macroeconomics 11 (4), 1-37, 2019
333*2019
The impact of Treasury supply on financial sector lending and stability
A Krishnamurthy, A Vissing-Jorgensen
Journal of Financial Economics 118 (3), 571-600, 2015
319*2015
Collateral constraints and the amplification mechanism
A Krishnamurthy
Journal of Economic Theory 111 (2), 277-292, 2003
3072003
Fiscal policy and financial depth
RJ Caballero, A Krishnamurthy
National Bureau of Economic Research, 2004
2742004
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Artikkelit 1–20