![]() “Structural reforms in a debt overhang”, Journal of Monetary Economics, Vol. “Inflation and optimal monetary policy in a model with firm heterogeneity and Bertrand competition”, European Economic Review, Vol. He has recently coauthored (with Rafael Domenech) two books: En busca de la prosperidad (2015, Deusto, Planeta) and La era de la disrupción digital (2020, Deusto, Planeta). He has been managing editor of Moneda y Crédito, co-editor of the Blog Nada es Gratis, member of the board of several scientific journals and was the head of the Spanish National Research Program in Economics from 2000 to 2003. Javier is research consultant on macroeconomic modeling for the Banco de España, member of the Advisory Board of AIReF ( Autoridad Independiente de Responsabilidad Fiscal) and Fellow of the Spanish Economic Association. He currently studies the process of macroeconomic adjustment after the financial crisis in economies with high private and public debt and heterogeneous households and firms, as well as the economic and welfare effects of the digital revolution. His research interests include economic growth and the labor market, fiscal and monetary policies, and the effect of financial frictions on the business cycle and macroeconomic stability. He has published numerous papers in scholarly journals and books. ![]() Javier Andrés is Professor of Economics at the University of Valencia since 1991 and holds a Master’s degree in Economics from the London School of Economics where he has also been a visiting researcher at the Centre for Economic Performance.
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