OpenAlex Citation Counts

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OpenAlex is a bibliographic catalogue of scientific papers, authors and institutions accessible in open access mode, named after the Library of Alexandria. It's citation coverage is excellent and I hope you will find utility in this listing of citing articles!

If you click the article title, you'll navigate to the article, as listed in CrossRef. If you click the Open Access links, you'll navigate to the "best Open Access location". Clicking the citation count will open this listing for that article. Lastly at the bottom of the page, you'll find basic pagination options.

Requested Article:

ECB policy and Eurozone fragility: Was De Grauwe right?
Orkun Saka, Ana-Marı́a Fuertes, Elena Kalotychou
Journal of International Money and Finance (2015) Vol. 54, pp. 168-185
Open Access | Times Cited: 71

Showing 1-25 of 71 citing articles:

Whatever It Takes: The Real Effects of Unconventional Monetary Policy
Viral V. Acharya, Tim Eisert, Christian Eufinger, et al.
Review of Financial Studies (2019) Vol. 32, Iss. 9, pp. 3366-3411
Open Access | Times Cited: 468

EMU risk-synchronisation and financial fragility through the prism of dynamic connectedness
Ioannis Chatziantoniou, David Gabauer
The Quarterly Review of Economics and Finance (2020) Vol. 79, pp. 1-14
Open Access | Times Cited: 176

Measuring systemic risk in the European banking sector: a copula CoVaR approach
Emmanouil Karimalis, Nikos K. Nomikos
European Journal of Finance (2017) Vol. 24, Iss. 11, pp. 944-975
Open Access | Times Cited: 108

“Whatever it takes” to resolve the European sovereign debt crisis? Bond pricing regime switches and monetary policy effects
António Afonso, Michael G. Arghyrou, María Dolores Gadea Rivas, et al.
Journal of International Money and Finance (2018) Vol. 86, pp. 1-30
Open Access | Times Cited: 76

‘We Serve the People of Europe’: Reimagining the ECB's Political Master in the Wake of its Emergency Politics
Hjalte Lokdam
JCMS Journal of Common Market Studies (2020) Vol. 58, Iss. 4, pp. 978-998
Open Access | Times Cited: 55

Eurozone government bond spreads: A tale of different ECB policy regimes
Sylvester Eijffinger, Mary Pieterse-Bloem
Journal of International Money and Finance (2023) Vol. 139, pp. 102965-102965
Open Access | Times Cited: 14

The politics of the ECB’s market-based approach to government debt
Jens van ’t Klooster
Socio-Economic Review (2022) Vol. 21, Iss. 2, pp. 1103-1123
Open Access | Times Cited: 21

Fiscal consolidation and its growth effects in euro area countries: past, present and future outlook
Philipp Heimberger
Review of Evolutionary Political Economy (2025)
Closed Access

The EU debt crisis: Testing and revisiting conventional legal doctrine
Paul De Grauwe, Yuemei Ji, Armin Steinbach
International Review of Law and Economics (2017) Vol. 51, pp. 29-37
Open Access | Times Cited: 38

The anatomy of sovereign risk contagion
Eliza Wu, Magdalena Erdem, Elena Kalotychou, et al.
Journal of International Money and Finance (2016) Vol. 69, pp. 264-286
Open Access | Times Cited: 35

The dysfunctional taboo: monetary financing at the Bank of England, the Federal Reserve, and the European Central Bank
Will Bateman, Jens van ’t Klooster
Review of International Political Economy (2023) Vol. 31, Iss. 2, pp. 413-437
Open Access | Times Cited: 9

Does one size fit all in the Euro Area? Some counterfactual evidence
Sergio Destefanis, Matteo Fragetta, Emanuel Gasteiger
Empirical Economics (2024) Vol. 67, Iss. 4, pp. 1615-1647
Open Access | Times Cited: 3

Macro news and bond yield spreads in the euro area
Guglielmo Maria Caporale, Fabio Spagnolo, Nicola Spagnolo
European Journal of Finance (2017) Vol. 24, Iss. 2, pp. 114-134
Open Access | Times Cited: 32

Public debt and r-g risks in advanced economies: Eurozone versus stand-alone
Philipp Heimberger
Journal of International Money and Finance (2023) Vol. 136, pp. 102877-102877
Open Access | Times Cited: 8

The Economic and Monetary Union: How Did the Euro Area Get a Lender of Last Resort?
Cornel Ban
Cambridge University Press eBooks (2020), pp. 179-195
Closed Access | Times Cited: 22

Quantifying sovereign risk in the euro area
Manish K. Singh, Marta Gómez‐Puig, Simón Sosvilla‐Rivero
Economic Modelling (2020) Vol. 95, pp. 76-96
Open Access | Times Cited: 22

The re-pricing of sovereign risks following the Global Financial Crisis
Dimitrios Malliaropulos, Petros M. Migiakis
Journal of Empirical Finance (2018) Vol. 49, pp. 39-56
Closed Access | Times Cited: 23

The Re-Pricing of Sovereign Risks Following the Global Financial Crisis
Petros M. Migiakis, Dimitrios Malliaropulos
SSRN Electronic Journal (2016)
Closed Access | Times Cited: 21

Impacts of sovereign risk premium on bank profitability: Evidence from euro area
Juha-Pekka Junttila, Vo Cao Sang Nguyen
International Review of Financial Analysis (2022) Vol. 81, pp. 102110-102110
Open Access | Times Cited: 12

Behavioral Finance and Efficient Markets: What does the Euro Crisis Tell us?
Graham Bird, Wenti Du, Thomas D. Willett
Open Economies Review (2017) Vol. 28, Iss. 2, pp. 273-295
Closed Access | Times Cited: 19

Investor Sentiment and Credit Default Swap Spreads During the Global Financial Crisis
Jeehye Lee, Sol Kim, Yuen Jung Park
Journal of Futures Markets (2016) Vol. 37, Iss. 7, pp. 660-688
Closed Access | Times Cited: 18

Macroeconomic imbalances, financial stress and fiscal vulnerability in the euro area before the debt crises: A market view
Gilles Dufrénot, Karine Gente, Frédia Monsia
Journal of International Money and Finance (2016) Vol. 67, pp. 123-146
Open Access | Times Cited: 16

Givers or Recipients? Co-Movements between Stock Markets of CEE-3 and Developed Countries
Wojciech Grabowski
Sustainability (2019) Vol. 11, Iss. 22, pp. 6495-6495
Open Access | Times Cited: 16

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