Martín Maximiliano Guzmán

guzman2021

Data di nascita 12 ottobre 1982
Luogo La Plata, Argentina
Nomina 21 settembre 2021
Disciplina Economia
Titolo Ministro dell'Economia della Repubblica Argentina

Principali premi, riconoscimenti e accademie Posizioni attuali: Ministro dell'Economia della Repubblica Argentina; Professore ordinario, Moneda, Crédito y Bancos, Facultad de Ciencias Económicas de la Universidad Nacional de La Plata; Professore, Universidad of Buenos Aires; Direttore, Columbia University Initiative for Policy Dialogue Debt Restructuring Program; Membro, Institute for New Economic Thinking’s Taskforce on Macroeconomic Externalities at Columbia University; Senior Fellow non residente, Centre for International Governance Innovation (CIGI); Senior Fellow non residente, Espacios Abiertos (Puerto Rico). Posizioni internazionali e consigli d'amministrazione: Direttore, Journal of Globalization and Development; Membro del CdA, Università degli Studi di Trento Summer School Program in Adaptive Economic Dynamics. Premi: 2012 Brown University Graduate Merit Dissertation Fellowship; 2011 Premio Raúl Prebisch per la migliore relazione scritta da un Giovane Economista Argentino (assegnato dalla Banca centrale argentina); 2006-2008 CONICET Post-Graduate Fellowship.


Riassunto dell’attività scientifica
Debito pubblico; Macroeconomia internazionale; Economia monetaria; Sviluppo economico.

Pubblicazioni principali
Pubblicazioni in riviste: “The pandemic economic crisis, precautionary behavior, and mobility constraints: an application of the dynamic disequilibrium model with randomness” (with Joseph E. Stiglitz), Industrial and Corporate Change 30 (2), 467-497, 2021; “Economic fluctuations and pseudo-wealth” (with Joseph E. Stiglitz), Industrial and Corporate Change 30 (2), 297-315, 2021; “Pseudo-Wealth and Consumption Fluctuations” (with Joseph E. Stiglitz), The Economic Journal, 131, 372-391, 2021; “An analysis of Argentina’s 2001 default resolution”, Comparative Economic Studies 62 (4): 701-738, 2020; "Towards a dynamic disequilibrium theory with randomness" (with Joseph E. Stiglitz), Oxford Review of Economic Policy 36 (3),621-674, 2020; “An analysis of Puerto Rico’s debt relief needs to restore debt sustainability” (with Pablo Gluzmann and Joseph E. Stiglitz), CENTRO Journal, 30(3), 104-146, 2018; “Real Exchange Rate Policies for Economic Development” (with José Antonio Ocampo and Joseph E. Stiglitz), World Development, 110, 51-62, 2018; “Assessing the Robustness of the Relationship Between Financial Reforms and Banking Crises” (with Pablo Gluzmann), Journal of International Financial Markets, Money, and Institutions, 49, 32-47, 2017; “The IMF Debt Sustainability Analysis: Issues and Problems” (with Daniel Heymann), Journal of Globalization and Development 6 (2): 387-404, 2015; “Tensions in the Implementation of Central Banks’ Policies in the Pursuit of Economic Development” (with Pablo Gluzmann), Ensayos Económicos 1 (65-66), 173-205, 2012; “Financial Reforms and Financial Instability”, (with Pablo Gluzmann), Ensayos Económicos 1 (61-62), 35-73, 2011.

Capitoli in libri: “A Soft Law Mechanism for Sovereign Debt Restructuring based on the UN Principles” (with Joseph E. Stiglitz), in Sovereign Debt and Human Rights, ed. by Ilias Bantekas and Cephas Lumina. Oxford and New York: Oxford University Press, 2018, Chapter 23, pp. 446-457; “Creating a Framework for Sovereign Debt Restructuring that Works” (with Joseph E. Stiglitz). In Too Little, Too Late: The Quest to Resolve Sovereign Debt Crises, Columbia University Press, New York, 2016, Chapter 1, pp. 3-32; “Introduction” (with José Antonio Ocampo and Joseph E. Stiglitz). In Too Little, Too Late: The Quest to Resolve Sovereign Debt Crises, Columbia University Press, New York, 2016, pp. XIII-XXII; “A Theory of Pseudo-wealth” (with Joseph E. Stiglitz). In Contemporary Issues in Macroeconomics: Lessons from The Crisis and Beyond, Palgrave, London, 2015, Chapter 3, pp.21-33; “Learning, Leverage, and the Financial Instability Hypothesis” (with Peter Howitt). In Contemporary Issues in Macroeconomics: Lessons from The Crisis and Beyond, Palgrave, London, 2015, Chapter 6, pp. 50-60; Discussion on Joseph Stiglitz’s paper “Crises: Principles and Policies”. International Economic Association Roundtable, Life After Debt, Buenos Aires, 2012. IEA Volume Debt Crises - How to Prevent them, how manage them, how to ensure there is life after debt (edited by Daniel Heymann and Joseph Stiglitz, Palgrave 2013).

Indirizzo professionale

Av. Hipólito Yrigoyen 250
C1086 AAB, Buenos Aires
Argentina

martinmguzman.com

Relazioni

©2012-2017 Pontificia Accademia delle Scienze Sociali

 

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