| The role of demandable debt in structuring optimal banking arrangements CW Calomiris, CM Kahn The American Economic Review, 497-513, 1991 | 2243 | 1991 |
| Fragile by design: The political origins of banking crises and scarce credit CW Calomiris, S Haber Princeton University Press, 2014 | 1496* | 2014 |
| The rise of financial capitalism: International capital markets in the age of reason L Neal Cambridge University Press, 1993 | 1310 | 1993 |
| Macroeconomic effects of federal reserve forward guidance [with comments and discussion] JR Campbell, CL Evans, JDM Fisher, A Justiniano, CW Calomiris, ... Brookings papers on economic activity, 1-80, 2012 | 1177 | 2012 |
| The origins of banking panics: models, facts, and bank regulation CW Calomiris, G Gorton Financial markets and financial crises, 109-174, 1991 | 1133 | 1991 |
| Conditional variance and the risk premium in the foreign exchange market I Domowitz, CS Hakkio Journal of international Economics 19 (1-2), 47-66, 1985 | 806 | 1985 |
| Business cycles and the relationship between concentration and price-cost margins I Domowitz, RG Hubbard, BC Petersen The RAND Journal of Economics, 1-17, 1986 | 793 | 1986 |
| Contagion and bank failures during the Great Depression: The June 1932 Chicago banking panic CW Calomiris, J Mason National Bureau of Economic Research, 1994 | 711 | 1994 |
| Market structure and cyclical fluctuations in US manufacturing I Domowitz, RG Hubbard, BC Petersen National Bureau of Economic Research, 1986 | 700 | 1986 |
| Does macro‐prudential regulation leak? Evidence from a UK policy experiment S Aiyar, CW Calomiris, T Wieladek Journal of Money, Credit and Banking 46 (s1), 181-214, 2014 | 662 | 2014 |
| Emerging financial markets JP Mei | 644 | 2001 |
| Nonlinear regression with dependent observations H White, I Domowitz Econometrica: Journal of the Econometric Society, 143-161, 1984 | 644 | 1984 |
| International cross‐listing and order flow migration: Evidence from an emerging market I Domowitz, J Glen, A Madhavan the Journal of Finance 53 (6), 2001-2027, 1998 | 640 | 1998 |
| Fundamentals, panics, and bank distress during the depression CW Calomiris, JR Mason American Economic Review 93 (5), 1615-1647, 2003 | 605 | 2003 |
| Building an incentive-compatible safety net CW Calomiris Journal of Banking & Finance 23 (10), 1499-1519, 1999 | 583 | 1999 |
| Liquidity, volatility and equity trading costs across countries and over time I Domowitz, J Glen, A Madhavan International Finance 4 (2), 221-255, 2001 | 557 | 2001 |
| Consequences of bank distress during the Great Depression CW Calomiris, JR Mason American Economic Review 93 (3), 937-947, 2003 | 538 | 2003 |
| Commercial paper, corporate finance, and the business cycle: a microeconomic perspective CW Calomiris, CP Himmelberg, P Wachtel Carnegie-Rochester Conference Series on Public Policy 42, 203-250, 1995 | 509 | 1995 |
| Firm Heterogeneity, Internal Finance, andCredit Rationing' CW Calomiris, RG Hubbard The Economic Journal 100 (399), 90-104, 1990 | 494 | 1990 |
| Bank Capital and portfolio management: The 1930's capital crunch and scramble to shed risk CW Calomiris, BK Wilson National Bureau of Economic Research, 1998 | 481 | 1998 |