Harald Uhlig

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Harald Uhlig
Born (1961-04-26) April 26, 1961 (age 63)
NationalityGerman
Academic career
InstitutionUniversity of Chicago
FieldMacroeconomics
Financial economics
Bayesian econometrics
Alma materUniversity of Minnesota (Ph.D. 1990)
Technical University of Berlin (Diplom, 1985)
Doctoral
advisor
Christopher A. Sims[1]
AwardsGossen Prize (2003)
Information at IDEAS / RePEc

Harald Uhlig (born April 26, 1961) is a German economist. He is professor of economics at the University of Chicago since 2007 and was Chairman of the Department of Economics from 2009 to 2012. He previously held positions at Princeton University, 1990–1994, Tilburg University, 2004–2010 and Humboldt University of Berlin, 2000–2007. Uhlig won the Gossen Prize in 2003. He was co-editor of Econometrica from 2006 to 2010. He is co-editor of the Journal of Political Economy since 2012.

Uhlig received his Diplom in mathematics from the Technical University of Berlin in 1985. He went on to earn a doctoral degree in economics at the University of Minnesota in 1990. His Ph.D. thesis, titled "Costly Information Acquisition, Stock Prices and Neoclassical Growth", was supervised by Christopher A. Sims.

Selected publications

  • Mountford, Andrew; Uhlig, Harald. "What are the Effects of Fiscal Policy Shocks?". Journal of Applied Econometrics. 24 (6): 960–992. doi:10.1002/jae.1079. {{cite journal}}: Unknown parameter |author2mask= ignored (|author-mask2= suggested) (help)
  • Uhlig, Harald (2005). "What are the Effects of Monetary Policy on Output? Results from an Agnostic Identification Procedure". Journal of Monetary Economics. 52 (2): 381–419. doi:10.1016/j.jmoneco.2004.05.007. {{cite journal}}: Unknown parameter |authormask= ignored (|author-mask= suggested) (help)
  • Ravn, Morten O.; Uhlig, Harald (2002). "On Adjusting the Hodrick–Prescott Filter for the Frequency of Observations". Review of Economics and Statistics. 84 (2): 371–376. doi:10.1162/003465302317411604. {{cite journal}}: Unknown parameter |author2mask= ignored (|author-mask2= suggested) (help)
  • Ljungqvist, Lars; Uhlig, Harald (2000). "Tax Policy and Aggregate Demand Management under Catching up with the Joneses". American Economic Review. 90 (3): 356–366. doi:10.1257/aer.90.3.356. JSTOR 117333. {{cite journal}}: Unknown parameter |author2mask= ignored (|author-mask2= suggested) (help)
  • Uhlig, Harald (1997). "Bayesian Vector Autoregressions with Stochastic Volatility". Econometrica. 65 (1): 59–73. JSTOR 2171813. {{cite journal}}: Unknown parameter |authormask= ignored (|author-mask= suggested) (help)
  • Taylor, John B.; Uhlig, Harald (1990). "Solving Nonlinear Stochastic Growth Models: A Comparison of Alternative Solution Methods". Journal of Business and Economic Statistics. 8 (1): 1–17. doi:10.1080/07350015.1990.10509766. {{cite journal}}: Unknown parameter |author2mask= ignored (|author-mask2= suggested) (help)

References

  1. ^ "Advantage Financial Harald Uhlig". Retrieved 2016-09-28.

External links