Name Title Author Journal year Link
Andrea Prestipino  Financial Intermediation, International Risk Sharing, and Reserve Currencies   Matteo Maggiori  wp  2011 
Anmol bhandari  A Macroeconomic Framework for Quantifying Systemic Risk  He and Krishnamurthy  Na  2012 
Anna Gibert  Labor Market Search and Schooling Investment  Christopher Flinn  WP  2011 
Chris Huckfeldt  Matching, Sorting and Wages  Jeremy Lise, Costas Meghir, and Jean-Marc Robin  mimeo  2012 
Dan Greenwald  Housing Collateral, Consumption Insurance, and Risk Premia: An Empirical Perspective  Lustig and Van Nieuwerburgh  Journal of Finance  2005 
David Evans  EUROPEAN UNEMPLOYMENT AND TURBULENCE REVISITED IN A MATCHING MODEL  Lars Ljungqvist, and Thomas J. Sargent  Journal of the European Economic Association  2004 
David Kohn  The Bond Premium in a DSGE Model with Long-Run Real and Nominal Risks  Rudebusch and Swanson  American Economic Journal: Macroeconomics  2012 
David Low  Life cycles saving: Insights from the perspective of bounded rationality  Johannes Binswanger  European Economic Review  2012 
Eric Giambattista  Sovereign Risk, Fiscal Policy, and Macroeconomic Stability  Corsetti, Kuester, Meier, and Mueller  WP  2012 
Gaston Navarro  The Great Escape? A Quantitative Evaluation of the Fed’s Liquidity Facilities  Marco Del Negro, Gauti Eggertsson, Andrea Ferrero, Nobuhiro Kiyotaki  WP  2011 
Grassi Basile  The Great Diversification and Its Undoing  Vasco Carvalho and Xavier Gabaix  AER (forthcoming)  2012 
Isaac Baley  Business Cycles and Endogenous Uncertainty  Bachmann and Moscarini  Working Paper  2011 
Jan Möller  Aggregate Implications of a Credit Crunch  Buera, Moll  WP  2012 
Joseph Briggs  The Effects of Health Insurance and Self‐Insurance on Retirement Behavior,  French and Jones  Econometrica  2011 
Joseph Mullins  Investment in Schooling and the Marriage Market  Chiappori, Iyigun, Weiss  AER  2009 
julio blanco  Credit, Vacancies and Unemployment Fluctuations  Petrosky-Nadeauy   WP  2011 
Katka Borovickova  Fixed costs adjustment and aggregate fluctuations  Elsby, Michaels  WP  2012 
Klaus Hellwig  Should We Regulate Financial Information?  Kurlat and Veldkamp  WP  2012 
Mi Luo  The Money Value of A Man  Huggett and Kaplan  WP  2012 
Michal Szkup  From Financial Crash to Debt Crisis  Reinhart and Rogoff  AER  2011   
Paolo Cavallino  A Theory of Bank Capital  Diamond, Rajan  The Journal of Finance  2000 
Ross Doppelt  An Equilibrium Model of Search Unemployment  James W. Albrecht and Bo Axell  JPE  1984 
Sergei Morozov  Interest on Bank Reserves and Optimal Sweeping  D. Dutkowsky and D. VanHoose  Journal of Banking and Finance  2011, vol 35(9), pp. 2491-2497   
Shengxing Zhang  A Monetary Theory with Non-Degenerate Distributions  Guido Menzio, Shouyong Shi and Hongfei Sun  working paper  2011 
Simon Mongey  Block recursive equilibria for stochastic models of search on the job  Menzio and Shi  JET  2010 
Xu Jianhuan  Contracts and Technology Adoption  Acemoglu  AER  2007