1.
RARE DISASTERS AND EXCHANGE RATES
by Farhi, Emmanuel
The Quarterly journal of economics, 2016, Vol.131 (1), p.1-52

2.
THE LIQUIDITY PREMIUM OF NEAR-MONEY ASSETS
by Nagel, Stefan
The Quarterly journal of economics, 2016, Vol.131 (4), p.1927-1972

3.
Capital Allocation and Productivity in South Europe
by Kalemli-Ozcan, Sebnem
The Quarterly journal of economics, 2017, Vol.132 (4), p.1915-1967

4.
Fiscal Policy in an Expectations-Driven Liquidity Trap
by Mertens, K. R. S. M.
The Review of economic studies, 2014, Vol.81 (4 (289)), p.1637-1667

5.
Exchange Rate Predictability
by Rossi, Barbara
Journal of economic literature, 2013, Vol.51 (4), p.1063-1119

6.
Rare Disasters and Asset Markets in the Twentieth Century
by Barro, Robert J
The Quarterly journal of economics, 2006, Vol.121 (3), p.823-866

7.
Monetary Policy and Real Borrowing Costs at the Zero Lower Bound
by Gilchrist, Simon
American economic journal. Macroeconomics, 2015, Vol.7 (1), p.77-109

8.
Credit Crises, Precautionary Savings, and the Liquidity Trap
by Guerrieri, Veronica
The Quarterly journal of economics, 2017, Vol.132 (3), p.1427-1467

9.
Rounding the Corners of the Policy Trilemma: Sources of Monetary Policy Autonomy
by Klein, Michael W.
American economic journal. Macroeconomics, 2015, Vol.7 (4), p.33-66

10.
The Effect of Fixed Exchange Rates on Monetary Policy
by Shambaugh, Jay C
The Quarterly journal of economics, 2004, Vol.119 (1), p.301-352

11.
Why Are Target Interest Rate Changes so Persistent?
by Coibion, Olivier
American economic journal. Macroeconomics, 2012, Vol.4 (4), p.126-162

12.
A Model of Secular Stagnation: Theory and Quantitative Evaluation
by Eggertsson, Gauti B.
American economic journal. Macroeconomics, 2019, Vol.11 (1), p.1-48

13.
Macroeconomics and the Term Structure
by Gürkaynak, Refet S
Journal of economic literature, 2012, Vol.50 (2), p.331-367

14.
Liquidity Traps and Jobless Recoveries
by Stephanie Schmitt-Grohé
American economic journal. Macroeconomics, 2017, Vol.9 (1), p.165-204

15.
Government Spending Multipliers under the Zero Lower Bound: Evidence from Japan
by Miyamoto, Wataru
American economic journal. Macroeconomics, 2018, Vol.10 (3), p.247-277

16.
Monetary Policy Surprises, Credit Costs, and Economic Activity
by Gertler, Mark
American economic journal. Macroeconomics, 2015, Vol.7 (1), p.44-76

17.
The Two Sides of Derivatives Usage: Hedging and Speculating with Interest Rate Swaps
by Chernenko, Sergey
Journal of financial and quantitative analysis, 2011, Vol.46 (6), p.1727-1754

18.
The Effects of Monetary Policy on Stock Market Bubbles: Some Evidence
by Galí, Jordi
American economic journal. Macroeconomics, 2015, Vol.7 (1), p.233-257

19.
The Optimal Inflation Rate in New Keynesian Models: Should Central Banks Raise Their Inflation Targets in Light of the Zero Lower Bound?
by Coibion, O.
The Review of economic studies, 2012, Vol.79 (4), p.1371-1406

20.
Catering to Investors Through Security Design: Headline Rate and Complexity
by Celerier, Claire
The Quarterly journal of economics, 2017, Vol.132 (3), p.1469-1508
