Joshua Aizenman
University of Southern California
Joshua Aizenman joined the faculty at USC in 2013, where he serves as the Dockson Chair in Economics and International Relations. His research covers a range of issues in the open economy. Joshua also serves as a Research Associate for the National Bureau of Economic Research, and co-editor of the Journal of International Money and Finance. Other affiliations have included teaching and research positions at UC Santa Cruz, Dartmouth, the University of Chicago GSB, the University of Pennsylvania, and the Hebrew University in Jerusalem. Consulting relationships include the International Monetary Fund, the World Bank, the Inter-American Development Bank, the Asian Development Bank, and the Federal Reserve Bank of San Francisco.
Articles by Joshua Aizenman:
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Why do emerging markets liberalise capital-outflow controls? Fiscal versus net capital flow concerns
2 May 2013, 4758 reads
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Macroeconomic adjustment and the history of crises in open economies
21 November 2012, 8476 reads
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US Banking over two centuries: Lessons for the Eurozone crisis
16 October 2012, 2853 reads
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Housing or education? Lessons from the US and Germany
25 August 2012, 5681 reads
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Income inequality, tax base, and sovereign spreads
30 June 2012, 11668 reads
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The euro and the global crises: Finding the balance between short-term stabilisation and forward-looking reforms
5 June 2012, 10592 reads
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Developing country and emerging market vulnerability to the Eurozone crisis
19 May 2012, 12985 reads
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The housing market and the case for higher inflation targets in the US and the Eurozone
15 May 2012, 9953 reads
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Central banks and gold puzzles
19 March 2012, 9926 reads
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How much do international reserves buffer terms-of-trade shocks?
14 January 2012, 7143 reads
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The trilemma in China and India
15 November 2011, 9106 reads
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Capital flows and growth: 1990–2010
28 October 2011, 7498 reads
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Managing financial integration and capital mobility: Lessons from emerging markets
4 October 2011, 7495 reads
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The fiscal stimulus of 2009-10: trade openness, fiscal space, and exchange-rate adjustment
30 September 2011, 5355 reads
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The risk of default in the Eurozone: New analysis of fiscal space, CDS spreads, and market pricing of risk
8 September 2011, 11231 reads
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De facto fiscal space and fiscal stimulus: Definition and assessment
4 December 2010, 7743 reads
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Fiscal fragility: What the past may say about the future
7 November 2010, 7659 reads
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From the Great Moderation to the global crisis: Ten years of exchange-market pressure
22 October 2010, 8331 reads
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Is Germany the new China? A sceptical view
5 October 2010, 14128 reads
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International reserves and swap lines: substitutes or complements?
3 April 2010, 10035 reads
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The US fiscal stimulus: Less than what you might think
3 March 2010, 17293 reads
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Using inflation to erode the US public debt
18 December 2009, 49835 reads
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Hoarding international reserves: Lessons from the crisis
30 November 2009, 9666 reads
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The fear of depleting international reserves
15 October 2009, 8862 reads
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Sovereign wealth funds, governance, and reserve accumulation
16 January 2009, 12644 reads
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Empirical evidence on the monetary policy trilemma since 1970
9 January 2009, 35705 reads
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Networking, citation of academic research, and premature death
30 April 2008, 9706 reads
Don't Miss
Helicopter money as a policy option
Reichlin, Turner, Woodford
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- Fiscal consolidation: At what speed?Blanchard, Leigh
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- Rethinking macroeconomic policyBlanchard
- A tale of two depressions: What do the new data tell us? February 2010 updateEichengreen, O’Rourke
- Educated in America: College graduates and high school dropoutsHeckman, LaFontaine
- Eurozone breakup would trigger the mother of all financial crisesEichengreen
- Debt, deleveraging, and the liquidity trap: A new modelKrugman
- Panic-driven austerity in the Eurozone and its implicationsDe Grauwe, Ji
