Items where Author is "Rey, H"
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Andreolli, M and Rey, H (2024) Fiscal Consequences of Missing an Inflation Target. IMF Economic Review, 72. pp. 701-772. ISSN 2041-4161
Coimbra, N and Rey, H (2024) Financial cycles with heterogeneous intermediaries. Review of Economic Studies, 91 (2). pp. 817-857. ISSN 0034-6527
Camanho, N, Hau, H and Rey, H (2022) Global Portfolio Rebalancing and Exchange Rates. Review of Financial Studies, 35 (11). pp. 5228-5274. ISSN 0893-9454
Coimbra, N, Kim, D and Rey, H (2022) Central Bank Policy and the Concentration of Risk: Empirical Estimates. Journal of Monetary Economics, 125. ISSN 0304-3932
Frankel, J and Rey, H (2021) Introduction: NBER International Seminar on Macroeconomics 2020. Journal of International Economics, 130. ISSN 0022-1996
Miranda-Agrippino, S and Rey, H (2020) U.S. Monetary Policy and the Global Financial Cycle. Review of Economic Studies, 87 (6). pp. 2754-2776. ISSN 0034-6527
Coeurdacier, N, Rey, H and Winant, P (2020) Financial integration and growth in a risky world. Journal of Monetary Economics, 112. pp. 1-21. ISSN 0304-3932
Gourinchas, P-O, Rey, H and Sauzet, M (2019) The International Monetary and Financial System. Annual Review of Economics, 11 (1). pp. 859-893. ISSN 1941-1383
Coimbra, N and Rey, H (2018) Financial Cycles and Credit Growth across Countries. AEA Papers and Proceedings, 108. pp. 509-512. ISSN 2574-0768
Gerko, E and Rey, H (2017) Monetary Policy in the Capitals of Capital. Journal of the European Economic Association, 15 (4). pp. 721-745. ISSN 1542-4766
Rey, H (2016) International channels of transmission of monetary policy and the Mundellian Trilemma. IMF Economic Review, 64 (1). pp. 6-35. ISSN 2041-4161
Passari, E and Rey, H (2015) Financial Flows and the International Monetary System. Economic Journal, 125 (584). pp. 675-698. ISSN 0013-0133
Rey, H and Coeurdacier, N (2013) Home bias in open economy financial macroeconomics. Journal of Economic Literature, 51 (1). pp. 63-115. ISSN 0022-0515
Rey, H, Gourinchas, P-O and Truempler, K (2012) The financial crisis and the geography of wealth transfers. Journal of International Economics, 88 (2). pp. 266-283. ISSN 0022-1996
Book Section
Miranda-Agrippino, S and Rey, H (2022) Chapter 1 - The Global Financial Cycle. In: Handbook of International Economics. Elsevier, pp. 1-43.
Rey, H (2014) Capital account management. In: What Have We Learned? Macroeconomic Policy after the Crisis. MIT Press, Cambridge, MA, pp. 307-316. ISBN 9780262027342
Gourinchas, P-O and Rey, H (2014) External Adjustment, Global Imbalances, Valuation Effects. In: Handbook of International Economics. Elsevier, pp. 585-645. ISBN 9780444543141
Monograph
Jamilov, R, Rey, H and Tahoun, A (2021) The Anatomy of Cyber Risk. Working Paper. Social Sciences Research Network.
Rey, H (2018) Dilemma not Trilemma: The Global Financial Cycle and Monetary Policy Independence. Working Paper. National Bureau of Economic Research.
Benassy-Quere, A, Brunnermeier, M, Enderlein, H, Farhi, E, Fuest, C, Gourinchas, P-O, Martin, P, Pisani-Ferry, J, Rey, H, Schnabel, I, Veron, N, Weder di Mauro, B and Zettelmeyer, J (2018) Reconciling risk sharing with market discipline: A constructive approach to euro area reform. Discussion Paper. Centre for Economic Policy Research.
Corsetti, G, Feld, L, Lane, P, Reichlin, L, Rey, H, Vayanos, D and Weder di Mauro, B (2015) New start for the Eurozone: dealing with debt. Project Report. CEPR Press, London.
Portes, R and Rey, H (2001) Determinants of cross-border equity flows. Working Paper. London Business School Economics Discussion Paper Series.
Conference proceeding
Miranda-Aggripino, S and Rey, H (2020) The global financial cycle after Lehman. [Conference proceeding]
Book
Corsetti, G, Feld, L, Koijen, R, Reichlin, L, Reis, R, Rey, H and di Mauro, B W (2016) Reinforcing the Eurozone and Protecting an Open Society: Monitoring the Eurozone 2. Centre for Economic Policy Research, London. ISBN 9781907142994