Ronald A. Ratti
Financial and nonfinancial global stock market volatility shocks (with Wensheng Kang and J. Vespignani), Economic Modelling, 2021.
Impact of global uncertainty on the global economy and large developed and developing economies (with Wensheng Kang and J. Vespignani), Applied Economics, 2020.
Oil price shocks and stock markets in the U.S. and 13 European countries (with J. Park), Energy Economics, 2008.
Bank concentration and financial constraints on firm-level investment in Europe (with S. Lee and Y. Seol), Journal of Banking & Finance, 2008.
Long-run neutrality, high inflation, and bank insolvencies in Argentina and Brazil (with S.-K. Bae), Journal of Monetary Economics, 2000.
Oil Shocks and the Macroeconomy: The Role of Price Variability (with K. Lee and Shawn Ni), The Energy Journal, 1995.
The Effects of Inflation Surprises and Uncertainty on Real Wages, Review of Economics and Statistics, 1985.
Bank Attitude Toward Risk, Implicit Rates of Interest, and the Behavior of an Index of Risk Aversion for Commercial Banks, Quarterly Journal of Economics, 1980.