|December 2014||Corporate Debt Structure and the Financial Crisis|
with Fiorella De Fiore: w20730
|November 2014||Accounting for Post-Crisis Inflation and Employment: A Retro Analysis|
with Chiara Fratto: w20707
|April 2014||Financial Health Economics|
with Ralph Koijen, Tomas Philipson: w20075
|August 2013||Sovereign Default Risk and Banks in a Monetary Union|
|May 2012||How Do Laffer Curves Differ across Countries?|
with Mathias Trabandt
in Fiscal Policy after the Financial Crisis, Alberto Alesina and Francesco Giavazzi, editors
|February 2012||How Do Laffer Curves Differ Across Countries?|
with Mathias Trabandt: w17862
Published: How Do Laffer Curves Differ across Countries?, Mathias Trabandt, Harald Uhlig. in Fiscal Policy after the Financial Crisis, Alesina and Giavazzi. 2013
|June 2011||Fiscal Stimulus and Distortionary Taxation|
with Thorsten Drautzburg: w17111
|April 2011||Bank Finance Versus Bond Finance|
with Fiorella De Fiore: w16979
Published: Fiorella De Fiore & Harald Uhlig, 2011. "Bank Finance versus Bond Finance," Journal of Money, Credit and Banking, Blackwell Publishing, vol. 43(7), pages 1399-1421, October. citation courtesy of
|September 2010||Economics and Reality|
Published: Uhlig, Harald, 2012. "Economics and reality," Journal of Macroeconomics, Elsevier, vol. 34(1), pages 29-41. citation courtesy of
|Is Quantity Theory Still Alive?|
with Pedro Teles: w16393
|September 2009||How Far Are We From The Slippery Slope? The Laffer Curve Revisited|
with Mathias Trabandt: w15343
Published: "The Laffer Curve Revisited," with Mathias Trabandt, Journal of Monetary Economics, Volume 58, Issue 4, May 2011, pp. 305-327.
|June 2009||A Model of a Systemic Bank Run|
Published: Uhlig, Harald, 2010.
"A model of a systemic bank run,"
Journal of Monetary Economics,
Elsevier, vol. 57(1), pages 78-96, January.
citation courtesy of
|May 2009||Monetary policy in Europe vs the US: what explains the difference?|
Published: Monetary Policy in Europe versus the United States: What Explains the Difference?, Harald Uhlig. in International Dimensions of Monetary Policy , Gali and Gertler. 2009
|April 2009||Comment on "How Has the Euro Changed the Monetary Transmission Mechanism?"|
in NBER Macroeconomics Annual 2008, Volume 23, Daron Acemoglu, Kenneth Rogoff and Michael Woodford, editors
|March 2009||Optimal Endowment Destruction under Campbell-Cochrane Habit Formation|
with Lars Ljungqvist: w14772
|December 2008||What are the Effects of Fiscal Policy Shocks?|
with Andrew Mountford: w14551
Published: Andrew Mountford & Harald Uhlig, 2009.
"What are the effects of fiscal policy shocks?,"
Journal of Applied Econometrics,
John Wiley & Sons, Ltd., vol. 24(6), pages 960-992.
citation courtesy of
|The Slow Decline of East Germany|
Published: Uhlig, Harald, 2008. "The slow decline of East Germany," Journal of Comparative Economics, Elsevier, vol. 36(4), pages 517-541, December. citation courtesy of
|July 2008||Pension Systems and the Allocation of Macroeconomic Risk|
with Lans Bovenberg
in NBER International Seminar on Macroeconomics 2006, Lucrezia Reichlin and Kenneth West, organizers
|June 2007||Monetary Policy in Europe versus the United States: What Explains the Difference?|
in International Dimensions of Monetary Policy , Jordi Galí and Mark J. Gertler, editors
|December 2003||Competitive Risk Sharing Contracts with One-Sided Commitment|
with Dirk Krueger: w10135
Published: Krueger, Dirk & Uhlig, Harald, 2006. "Competitive risk sharing contracts with one-sided commitment," Journal of Monetary Economics, Elsevier, vol. 53(7), pages 1661-1691, October. citation courtesy of
|September 1990||Solving Nonlinear Stochastic Growth Models: A Comparison of Alternative Solution Methods|
with John B. Taylor: w3117
Published: Journal of Business & Economic Statistics, Vol. 8, No. 1, pp. 1-17, (January 1990). citation courtesy of