Publications

1996
Friedman, Benjamin M. 1996. “Economic Implications of Changing Share Ownership.” Journal of Portfolio Management 22.
1995
Friedman, Benjamin M. 1995. “Principles of Economics.” The American Economist 39.
1994
Friedman, Benjamin M. 1994. “The Decline of Commercial Banking: Implications for Monetary Policy.” The Declining Role of Banking. Federal Reserve Bank of Chicago.
Friedman, Benjamin M. 1994. “Intermediate Targets Versus Information Variables as Operating Guides for Monetary Policy.” A Framework for Monetary Stability, edited by Wijnholds. Dordrecht: Kluwer Academic Publishers.
1993
Friedman, Benjamin M. 1993. “The Role of Judgment and Discretion in the Conduct of Monetary Policy: Consequences of Changing Financial Markets.” Changing Capital Markets: Implications for Monetary Policy. Federal Reserve Bank of Kansas City.
Friedman, Benjamin M, and Kenneth N Kuttner. 1993. “Economic Activity and the Short-Term Credit Markets: An Analysis of Prices and Quantities.” Brookings Papers on Economic Activity 2.
Friedman, Benjamin M. 1993. “The Role of Private Saving and Government Dissaving in Financing American Economic Development in the 1980s.” International Savings Flows and Capital Availability in the 1990s and Beyond. American Institute for Economic Research.
Friedman, Benjamin M, and Kenneth N Kuttner. 1993. “Why Does the Paper-Bill Spread Predict Real Economic Activity?” New Research on Business Cycles, Indicators and Forecasting, edited by Stock and Watson. University of Chicago Press.
Friedman, Benjamin M, and Kenneth N Kuttner. 1993. “Another Look at the Evidence on Money-Income Casuality.” Journal of Econometrics 57.
1992
Friedman, Benjamin M, and Kenneth N Kuttner. 1992. “Money, Income, Prices and Interest Rates.” American Economic Review 82.
Friedman, Benjamin M, and Kenneth N Kuttner. 1992. “Time-Varying Risk and the Pricing of Risky Assets.” Oxford Economic Papers 44.
Friedman, Benjamin M. 1992. “How Does It Matter?” Business Cycles: Theories and Evidence, edited by Belongia and Garfinkel. Norwell: Kluwer Academic Publishers.
Friedman, Benjamin M. 1992. “Learning from the Reagan Deficits.” American Economic Review 82.
Friedman, Benjamin M. 1992. “Financial Roadblocks on the Route to Economic Prosperity.” Challenge 35.
Friedman, Benjamin M. 1992. “Debt Management Policy, Interest Rates, and Economic Activity.” Does Debt Management Matter?, edited by Agell. Oxford University Press.
Fazzari,, and Papadimitriou. 1992. “Risks in Our High-Debt Economy: Depression or Inflation?” Financial Conditions and Macroeconomic Performance: Essays in Honor of Hyman P. Minsky, edited by Fazzari and Papadimitriou. M.E. Sharpe.
Does Debt Management Matter?
Friedman, Benjamin M, Jonas Agell, and Mats Persson. 1992. Does Debt Management Matter?. Oxford University Press.
1991
Friedman, Benjamin M. 1991. “Views on the Likelihood of Financial Crisis.” Reducing the Risk of Economic Crisis, edited by Feldstein. University of Chicago Press.
1990
Friedman, Benjamin M. 1990. “U.S. Fiscal Policy in the 1980s: Consequences of Large Budget Deficits at Full Employment.” The Debt and the Twin Deficits Debate, edited by Rock. Mayfield Publishing Company.
Friedman, Benjamin M. 1990. “Is the Monetary Base Related to Income in a Robust Way?” Monetary Policy for a Changing Financial Environment, edited by Haraf and Cagan. Washington: American Enterprise Institute.

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