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Alberto Martin
Alberto Martin
Centre de Recerca en Economia Internacional and Barcelona School of Economics
Verified email at crei.cat - Homepage
Title
Cited by
Cited by
Year
Sovereign default, domestic banks, and financial institutions
N Gennaioli, A Martin, S Rossi
The Journal of Finance 69 (2), 819-866, 2014
7122014
Economic growth with bubbles
A Martin, J Ventura
American Economic Review 102 (6), 3033-58, 2012
4972012
Sovereign debt markets in turbulent times: Creditor discrimination and crowding-out effects
F Broner, A Erce, A Martin, J Ventura
Journal of Monetary Economics 61, 114-142, 2014
3452014
Sovereign risk and secondary markets
F Broner, A Martin, J Ventura
American Economic Review 100 (4), 1523-55, 2010
3052010
Banks, government bonds, and default: What do the data say?
N Gennaioli, A Martin, S Rossi
Journal of Monetary Economics 98, 98-113, 2018
264*2018
Theoretical notes on bubbles and the current crisis
A Martin, J Ventura
IMF Economic Review 59 (1), 6-40, 2011
972011
The macroeconomics of rational bubbles: a user's guide
A Martin, J Ventura
Annual Review of Economics 10, 505-539, 2018
892018
Managing credit bubbles
A Martin, J Ventura
Journal of the European Economic Association 14 (3), 753-789, 2016
852016
Managing the sovereign-bank nexus
MG Dell'Ariccia, C Ferreira, N Jenkinson, ML Laeven, A Martin, ...
International Monetary Fund, 2018
752018
International capital flows and credit market imperfections: A tale of two frictions
A Martin, F Taddei
Journal of International Economics 89 (2), 441-452, 2013
722013
On the role of retaliation in trade agreements
A Martin, W Vergote
Journal of International Economics 76 (1), 61-77, 2008
722008
Monetary policy for a bubbly world
V Asriyan, L Fornaro, A Martin, J Ventura
The Review of Economic Studies 88 (3), 1418-1456, 2021
652021
The financial transmission of housing booms: evidence from Spain
A Martín, E Moral-Benito, T Schmitz
American Economic Review 111 (3), 1013-53, 2021
59*2021
Understanding bubbly episodes
VM Carvalho, A Martin, J Ventura
American Economic Review 102 (3), 95-100, 2012
532012
Endogenous credit cycles
A Martin
Available at SSRN 1001861, 2005
462005
A model of collateral, investment, and adverse selection
A Martin
Journal of Economic Theory 144 (4), 1572-1588, 2009
452009
The international transmission of credit bubbles: theory and policy
A Martin, J Ventura
Journal of Monetary Economics 76, S37-S56, 2015
412015
Collateral booms and information depletion
V Asriyan, L Laeven, A Martin
The Review of Economic Studies 89 (2), 517-555, 2022
382022
Fiscal multipliers and foreign holdings of public debt
F Broner, D Clancy, A Erce, A Martin
The Review of Economic Studies 89 (3), 1155-1204, 2022
332022
Enforcement problems and secondary markets
FA Broner, A Martin, J Ventura
Journal of the European Economic Association 6 (2-3), 683-694, 2008
282008
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Articles 1–20