Home | People | Sweder van Wijnbergen
 placeholder

Sweder van Wijnbergen

Emeritus Fellow

University
University of Amsterdam
Research field
Macroeconomics
Interests
Environmental Economics, Finance, Macroeconomics, Pensions, Public Finance

Key publications

List of publications

Olijslagers, S., van der Ploeg, F. and van Wijnbergen, S. (2023). On Current and Future Carbon Prices in a Risky World Journal of Economic Dynamics and Control, 146:.

van Wijnbergen, S. (2022). Lockdowns as Options Economics Letters, 214:.

Chen, D. and van Wijnbergen, S.J.G. (2020). Redistributive consequences of abolishing uniform contribution policies in pension funds De Economist, 168(3):305–341.

Boermans, M. and van Wijnbergen, S. (2018). Contingent convertible bonds: Who invests in European CoCos? Applied Economics Letters, 25(4):234--238.

Homar, T. and van Wijnbergen, S.J.G. (2017). Bank recapitalization and economic recovery after financial crises Journal of Financial Intermediation, 32:16--28.

Zhao, L. and van Wijnbergen, S. (2017). Decision-making in incomplete markets with ambiguity—a case study of a gas field acquisition Quantitative Finance, 17(11):1759--1782.

van der Kwaak, C. and van Wijnbergen, S. (2017). Sovereign debt and bank fragility in Spain Review of World Economics, 153(3):511–543.

Kirchner, M. and van Wijnbergen, S. (2016). Fiscal Deficits, Financial Fragility, and the Effectiveness of Government Policies Journal of Monetary Economics, 80:51--68.

van Wijnbergen, S.J.G. and Willems, T. (2016). Learning dynamics and support for economic reforms: why good news can be bad World Bank Economic Review, 30(1):1--23.

van Wijnbergen, S. and Zhao, L. (2016). Real Options in Practice: Valuing Connected Gas Fields in the North Sea Journal of Derivatives, 23(4):54--73.

van Wijnbergen, S.J.G. and Zhao, L. (2016). A Real options perspective on Valuing Gas Fields Journal of Derivatives, :.

van Wijnbergen, S. and Willems, T. (2015). Optimal Learning on Climate Change: Why Climate Skeptics Should Reduce Emissions Journal of Environmental Economics and Management, 70:17--33.

van der Kwaak, C.G.F. and van Wijnbergen, S.J.G. (2014). Financial fragility, sovereign default risk and the limits to commercial bank bail-outs Journal of Economic Dynamics and Control, 43:218--240.

Schabert, A. and van Wijnbergen, S.J.G. (2014). Sovereign default and the stability of inflation targeting regimes IMF Economic Review, 62(2):261--287.

Zaheer, S., Ongena, S. and van Wijnbergen, S.J.G. (2013). The transmission of monetary policy through conventional and Islamic banks International Journal of Central Banking, 9(4):175--224.

van Wijnbergen, S. and Willems, T. (2013). Imperfect information, lagged labour adjustment, and the Great Moderation Oxford Economic Papers, 65(2):219--239.

van Wijnbergen, S. and France, A. (2012). Assessing debt sustainability in a stochastic environment: 200 years of Dutch debt and deficit management De Economist, 160(3):219--236.

van Wijnbergen, S. and Budina, N. (2011). Fiscal sustainability, volatility and oil wealth: a stochastic analysis of fiscal spending rules Economics of Transition, 19(4):639--666.

Budina, N. and van Wijnbergen, S. (2009). Quantitative approaches to fiscal sustainability analysis: a case study of Turkey since the 2001 crisis World Bank Economic Review, 23(1):119--140.

van Wijnbergen, S. (2005). Discussion Economic Policy, 20(4):288--289.

van Wijnbergen, S.J.G. and Budina, N. (2001). Inflation Stabilization, Fiscal Deficits and Public Debt Management in Poland Journal of Comparative Economics, 29(2):293--309.

van Wijnbergen, S. and Estache, A. (1999). Evaluating the Minimum Asset Tax on Corporations: an Otion Pricing Approach Journal of Public Economics, 71(1):75--96.

van Wijnbergen, S.J.G. and Budina, N. (1997). Fiscal policies in Eastern Europe. Oxford Review of Economic Policy, 13(2):47--64.

van Wijnbergen, S. (1997). On the role of commercial banks in enterprise restructuring: the Polish example Journal of Comparative Economics, 21(1):44--64.

van Wijnbergen, S.J.G. and Erol, T. (1997). Real Exchange Rate Targeting and inflation in Turkey: an empirical analysis with policy credibility. World Development, 25:1717--1730.

Marcinèin, A. and van Wijnbergen, S. (1997). The impact of Czech privatization methods on enterprise performance incorporating initial selection-bias correction Economics of Transition, 5(2):289--304.

van Wijnbergen, S.J.G. (1995). Agriculture in the Mexico-US free trade agreement: Transition problems in economic reform American Economic Review, 85(4):738--754.

Doyle, C. and van Wijnbergen, S. (1994). Taxation of foreign multinationals: a sequential bargaining approach to tax holidays International Tax and Public Finance, 1(3):211--225.

Oks, D. and van Wijnbergen, S. (1995). Mexico after the debt crisis: is growth sustainable? Journal of Development Economics, 47(1):155--178.

van Wijnbergen, S.J.G. (1995). Transition problems in economic reform: agriculture in the North American free trade agreement American Economic Review, 85(sep):738--742.

van Wijnbergen, S.J.G. and van Ewijk, C. (1995). Can abatement resolve the conflict between economic growth and the environment? De Economist, 143:197--216.

van Wijnbergen, S.J.G., Eggerstedt, H. and Hall, R. (1995). Measuring capital flight: A case study of Mexico World Development, 23(2):211--232.

Levy, S. and van Wijnbergen, S. (1994). Labor markets, migration and welfare: Agriculture in the North-American Free Trade Agreement Journal of Development Economics, 43(2):263--278.

van Wijnbergen, S.J.G. and Arslan, I. (1993). Export incentives, exchange rate policy and export growth in Turkey Review of Economics and Statistics, 75(1):128--134.

van Wijnbergen, S.J.G. and Claessens, C. (1993). Secondary market prices and Mexico's Brady Deal Quarterly Journal of Economics, 108(nov):965--983.

van Wijnbergen, S.J.G. and Persson, T. (1993). Signalling, wage controls and monetary disinflation policy Economic Journal, 103(416):79----.

van Wijnbergen, S. (1993). Enterprise reform in Eastern Europe Economics of Transition, 1(1):21--38.

Claessens, S. and van Wijnbergen, S. (1993). The 1990 Mexico and Venezuela recapture clauses: An application of average price options Journal of Banking and Finance, 17(4):733--745.

van Wijnbergen, S. (1992). Intertemporal speculation, shortages and the political economy of price reform Economic Journal, 102(415):1395--1406.

van Wijnbergen, S. (1992). Shortages and price decontrol European Economic Review, 36(2-3):426--432.

van Wijnbergen, S.J.G. (1992). Trade reform, policy uncertainty, and the current account: a non expected-utility approach American Economic Review, 82(3):626----.

Levy, S. and van Wijnbergen, S. (1992). Maize and the free trade agreement between Mexico and the United States World Bank Economic Review, 6(3):481--502.

Levy, S. and Van Wijnbergen, S. (1992). Agricultural adjustment and the Mexico-USA Free Trade Agreement American Economic Review, :42--65.

van Wijnbergen, S.J.G. (1991). Fiscal deficits, exchange rate crises and inflation Review of Economic Studies, 58(193):81--92.

van Wijnbergen, S. (1991). Mexico and the Brady plan: The Mexican debt deal Economic Policy, 6(12):13--56.

van Wijnbergen, S. (1991). Debt relief and economic growth in Mexico World Bank Economic Review, 5(3):437--455.

van Wijnbergen, S.J.G., Feltenstein, L. and Lebow, D. (1990). Savings, Commodity Market Rationing, and the Real Rate of Interest in China Journal of International Economics, 22(2):234----.

van Wijnbergen, S.J.G. (1990). Capital Controls and the Real Exchange Rate Economica, 57(225):15----.

Van Wijnbergen, S. (1990). Cash/debt buy-backs and the insurance value of reserves Journal of International Economics, 29(1-2):123--131.

van Wijnbergen, S.J.G. (1989). Financial policy and speculative runs with a crawling peg: Argentina 1979-1981 Journal of International Economics, 27(1/2):111----.

van Wijnbergen, S.J.G. and Svensson, L. (1989). Excess capicity, monopolistic competition, and international transmission of monetary disturbances Economic Journal, 99(397):785----.

Anand, R. and van Wijnbergen, S. (1989). Inflation and the financing of government expenditure: An introductory analysis with an application to Turkey World Bank Economic Review, 3(1):17--38.

van Wijnbergen, S. (1989). External debt, inflation, and the public sector: Toward fiscal policy for sustainable growth World Bank Economic Review, 3(3):297--320.

van Wijnbergen, S.J.G. (1988). Monopolistic competition, credibility and the output costs of disinflation programs. Journal of Development Economics, 29(3):375----.

Martin, R. and Wijnbergen, S.Van (1988). Efficient pricing of natural gas. A case study of Egypt Journal of Public Economics, 36(2):177--196.

van Wijnbergen, S.J.G. (1987). Government deficits, private investment and the current account: an intertemporal disequilibrium analysis Economic Journal, 97(387 (Sep)):596----.

Edwards, S. and van Wijnbergen, S. (1987). Tariffs, the real exchange rate and the terms of trade: On two popular propositions in international economics Oxford Economic Papers, 39(3):458--464.

van Wijnbergen, S.J.G. (1986). On fiscal deficits, the real exchange rate and the world rate of interest European Economic Review, 30(5 (Oct)):1013----.

van Wijnbergen, S.J.G. and Edwards, S. (1986). The welfare effects of trade and capital market liberalization International Economic Review, 27(1 (Feb)):141----.

van Wijnbergen, S. (1986). Exchange rate management and stabilization policies in developing countries Journal of Development Economics, 23(2):227--247.

Van Wijnbergen, S. (1986). Macroeconomic aspects of the effectiveness of foreign aid: On the two-gap model, home goods disequilibrium and real exchange rate misalignment Journal of International Economics, 21(1-2):123--136.

van Wijnbergen, S.J.G. (1985). Oil price shocks, unemployement, investment and the current account: an intertemporal disequilibrium analysis Review of Economic Studies, 52(171 (Oct)):627----.

van Wijnbergen, S.J.G. (1985). Optimal capital accumulation and the allocation of investment between traded and nontraded sectors in oil-producing countries. The Scandinavian Journal of Economics, 87(1):89----.

van Wijnbergen, S.J.G. and Deepak, L. (1985). Government deficits, the real interest rate and Ldc debt European Economic Review, 29(2 (Nov)):157----.

Van Wijnbergen, S. (1985). Macro-economic effects of changes in bank interest rates. Simulation results for South Korea Journal of Development Economics, 18(2-3):541--554.

van Wijnbergen, S. (1985). Optimal taxation of imported energy under price uncertainty Oxford Economic Papers, 37(1):83--92.

van Wijnbergen, S. (1985). Taxation of international capital flows, the intertemporal terms of trade and the real price of oil Oxford Economic Papers, 37(3):382--390.

Van Wijnbergen, S. (1985). Trade reform, aggregate investment and capital flight. On credibility and the value of information Economics Letters, 19(4):369--372.

van Wijnbergen, S.J.G. (1984). The 'Dutch disease': a disease after all? Economic Journal, 94(373):41----.

van Wijnbergen, S. (1984). Oil price shocks and the current account: An analysis of short run adjustment measures Review of World Economics, 120(3):460--480.

Van Wijnbergen, S. (1984). The optimal investment and current account response to oil price shocks under putty-clay technology Journal of International Economics, 17(1-2):139--147.

van Wijnbergen, S. (1984). Inflation, employment, and the Dutch disease in oil-exporting countries: a short-run disequilibrium analysis Quarterly Journal of Economics, 99(2):233--250.

van Wijnbergen, S.J.G. (1983). Credit policy, inflation and growth in a financially repressed economy Journal of Development Economics, 13(1/2):45----.

Van Wijnbergen, S. (1983). Interest rate management in LDC's Journal of Monetary Economics, 12(3):433--452.

van Wijnbergen, S. (1982). Stagflationary effects of monetary stabilization policies. A quantitative analysis of South Korea Journal of Development Economics, 10(2):133--169.

van Wijnbergen, S. (1979). A note on fiscal policy under perfect capital mobility in a Keynesian two country world Review of World Economics, 115(4):742--744.