 AUTHOR INDEX BRAINARD, William C.
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Cowles Foundation Discussion
Papers (CFDPs) |
CFDP 63R,
"Financial Intermediaries and the Effectiveness of Monetary Controls" (December
1962) (with James Tobin) [69pp] [CFP 194] |
CFDP 197,
"Uncertainty and Diversification in International Trade" (October1965) (with
Richard N. Cooper) [55pp] [CFP 315] |
CFDP 244,
"Pitfalls in Financial Model-Building" (February 1968) (with James Tobin) [36pp]
[CFP 279] |
CFDP 382, "The
Value of A Priori Information in Estimating a Financial Model" (November 1974) (with
Gary Smith) [48pp] [CFP 442] |
CFDP 427,
"Asset Markets and the Cost of Capital" (March 1976) (with James Tobin) [48pp]
[CFP 440] |
CFDP 535,
"Disequilibrium Models of Financial Institutions" (1979) (with Gary Smith)
[43pp] [CFP 561] |
CFDP 548, "A
Model of U.S. Financial and Nonfinancial Economic Behavior" (1980) (with David
Backus, Gary Smith, James Tobin) [66pp] [CFP 500] |
CFDP 991, "On
the Internationalization of Portfolios" (October 1991) (with James Tobin) [53pp, abstract] [CFP 840] |
CFDP 1272, "How
to Compute Equilibrium Prices in 1891" (August 2000) (with Herbert E. Scarf) [21pp] abstract |
|
Cowles Foundation Papers
(Reprints) (CFPs) |
CFP 194,
"Financial Intermediaries and the Effectiveness of Monetary Controls." American
Economic Review (1963), 53(2): 383-400 (with James Tobin) [CFDP 63R] |
CFP 219,
"Financial Intermediaries and a Theory of Monetary Control." Yale Economic
Essays (1964), 4(2): 431-482 |
CFP 245, "Some
Simple Propositions Concerning Cost-Push Inflation." American Economic Review
(1966), 56(4): 858-866 (with Michael C. Lovell) |
CFP 257,
"Uncertainty and the Effectiveness of Policy." American Economic Review (1967),
57(2): 411-425 |
CFP 279,
"Pitfalls in Financial Model Building." American Economic Review (May
1968), 58(2): 99-122 (with James Tobin) [CFDP 244] |
CFP 315,
"Uncertainty and Diversification in International Trade." In Studies in
Agricultural Economics, Trade, and Development, Vol. 8, Food Research Institute,
Stanford University, 1968, pp. 257-285 (with Richard N. Cooper) [CFDP 197] |
CFP 350,
"Social Risk and Financial Markets." American Economic Review (1971), 61:
361-370 plus 7pp footnotes (with F. Trenery Dolbear) |
CFP 427,
"Empirical Monetary Macroeconomics: What Have We Learned in the Last 25 Years?" American
Economic Review (May 1975), 75: 195-202 (with Richard N. Cooper) |
CFP 440, "Asset
Markets and the Cost of Capital." In Economic Progress, Private Values and Public
Policy, Essays In Honor of William Fellner, North-Holland, 1977, pp. 235-262 (with
James Tobin) [CFDP 427] |
CFP 442, "The
Value of A Priori Information in Estimating A Financial Model." The Journal of
Finance (December 1976), 31(5): 1300-1322 (with Gary Smith) [CFDP 382] |
CFP 500, "A
Model of U.S. Financial and Non-financial Economic Behavior." Journal of Money,
Credit, and Banking (May 1980), 12(2): 259-293 (with David Backus, Gary Smith, James
Tobin) [CFDP 548] |
CFP 513, "The
Financial Valuation of the Return to Capital." Brookings Papers on Economic
Activity (1980), 2: 453-511 (with John B. Shoven, Laurence Weiss) |
CFP 561, "A
Disequilibrium Model of Savings and Loan Associations." The Journal of Finance
(December 1982), 37(5): 1277-1293 (with Gary Smith) [CFDP 535] |
CFP 760, "On
Crotty's Critique of Q-Theory." Journal of Post Keynesian Activity
(Summer 1990), 12(4): 543-549 (with James Tobin) |
CFP 840, "On
the Internationalization of Portfolios." Oxford Economic Papers (1992), 44:
533-565 (with James Tobin) [CFDP 991] |
CFP 1011, "Making Policy in a Changing World." In G. Perry
and J. Tobin, eds., Economic Events, Ideas, and Policies, 2000, pp. 43-69 (with
George L. Perry) |
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