@article{bianchi2010credit, title={Credit externalities: Macroeconomic effects and policy implications}, author={Bianchi, Javier}, journal={American Economic Review Papers and Proceedings}, volume={100}, number={2}, pages={398--402}, year={2010} } @article{bianchi2011overborrowing, title={Overborrowing and Systemic Externalities in the Business Cycle}, author={Bianchi, Javier}, journal={American Economic Review}, volume={101}, number={7}, pages={3400--3426}, year={2011} } @article{bianchi2016efficient, title={Efficient bailouts?}, author={Bianchi, Javier}, journal={American Economic Review}, volume={106}, number={12}, pages={3607--59}, year={2016} } @article{bianchi2018optimal, title={Optimal time-consistent macroprudential policy}, author={Bianchi, Javier and Mendoza, Enrique G}, journal={Journal of Political Economy}, volume={126}, number={2}, pages={588--634}, year={2018}, publisher={University of Chicago Press Chicago, IL} } @article{bianchi2018international, title={International reserves and rollover risk}, author={Bianchi, Javier and Hatchondo, Juan Carlos and Martinez, Leonardo}, journal={American Economic Review}, volume={108}, number={9}, pages={2629--70}, year={2018} } @article{bianchi2012innovation, title={Macroprudential policy in a Fisherian model of financial innovation}, author={Bianchi, Javier and Boz, Emine and Mendoza, Enrique Gabriel}, journal={IMF Economic Review}, volume={60}, number={2}, pages={223--269}, year={2012}, publisher={Springer} } @article{bianchi2016fundamentals, title={Fundamentals news, global liquidity and macroprudential policy}, author={Bianchi, Javier and Liu, Chenxin and Mendoza, Enrique G}, journal={Journal of International Economics}, volume={99}, pages={S2--S15}, year={2016}, publisher={Elsevier} } @article{amador2016reverse, title={Reverse speculative attacks}, author={Amador, Manuel and Bianchi, Javier and Bocola, Luigi and Perri, Fabrizio}, journal={Journal of Economic Dynamics and Control}, volume={72}, pages={125--137}, year={2016}, publisher={Elsevier} } @article{bianchi2014discussion, title={Discussion of “The risk channel of monetary policy”}, author={Bianchi, Javier}, journal={International Journal of Central Banking}, volume={10}, number={2}, pages={161--168}, year={2014} } @article{bianchi2015discussion, title={Discussion of ``Macroeconomic volatility and external imbalances'' by Alessandra Fogli and Fabrizio Perri}, author={Bianchi, Javier}, journal={Journal of Monetary Economics}, volume={69}, pages={16--19}, year={2015}, publisher={Elsevier} } @article{amador2017exchange, title={Exchange rate policies at the zero lower bound}, author={Amador, Manuel and Bianchi, Javier and Bocola, Luigi and Perri, Fabrizio}, year={2020}, journal={Review of Economic Studies} } @unpublished{bianchi2016fiscal, title={Fiscal policy, sovereign risk, and unemployment}, author={Bianchi, Javier and Ottonello, Pablo and Presno, Ignacio}, year={2018}, note={Mimeo, Minneapolis Fed} } @unpublished{arce2019macroprudential, title={A macroprudential theory of foreign reserve accumulation}, author={Arce, Fernando and Bengui, Julien and Bianchi, Javier}, year={2019}, institution={NBER Working Paper No. 26236} } @unpublished{bianchi-coulibaly, title={Liquidity Traps, Prudential Policies, and International Spillovers}, author={Bianchi, Javier and Coulibaly, Louphou}, year ={2021}, note={Mimeo, Federal Reserve Bank of Minneapolis} } @unpublished{bianchi-coulibaly-fear, title={A theory of fear of floating}, author={Bianchi, Javier and Coulibaly, Louphou}, year ={2022}, note={Mimeo, Federal Reserve Bank of Minneapolis} } @unpublished{bianchi2018monetary, title={Monetary independence and rollover crises}, author={Bianchi, Javier and Mondragon, Jorge}, journal={The Quarterly Journal of Economics}, volume={137}, number={1}, pages={435--491}, year={2022}, publisher={Oxford University Press} } @unpublished{bengui2018macroprudential, title={Macroprudential Policy with Leakages}, author={Bengui, Julien and Bianchi, Javier}, year={2018}, note={NBER Working Paper No.25048 } } @unpublished{bianchi2014banks, title={Banks, liquidity management and monetary policy}, author={Bianchi, Javier and Bigio, Saki}, year={2018}, note={NBER Working Paper No. 20490 } } @unpublished{bianchi_mendoza_macropru, title={Overborrowing, Financial Crises and `Macro-prudential' Policy}, author={Bianchi, Javier and Mendoza, Enrique G.}, year={2010}, note={NBER Working Paper No. 16091 } } @unpublished{bianchi2018reserve, title={Reserve Accumulation, Macroeconomic Stabilization and Sovereign Risk}, author={Bianchi, Javier and Sosa-Padilla, Cesar and others}, note={NBER Working Paper No. 27323} year={2020}, } @unpublished{amador2021bank, title={Bank Runs, Fragility, and Credit Easing}, author={Amador, Manuel and Bianchi, Javier}, year={2021}, institution={NBER Working Paper No. 29397} }