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Martin Guzman

Martin Guzman is a research associate at Columbia University, Professor of Economics at the University of Buenos Aires, and senior non-resident fellow at the Center for a New Economy in San Juan, Puerto Rico. He is a co-chair of Columbia IPD’s Taskforce on Debt Restructuring and Sovereign Bankruptcy, and a member of the INET Research Group on “Macroeconomic Efficiency and Stability”. He holds a PhD in Economics from Brown University. His research fields are Macroeconomics, Monetary Economics, and Economic Growth.

By this expert

Learning, Expectations, and the Financial Instability Hypothesis

Paper Working Paper Series | | Nov 2015

This paper analyzes what assumptions on formation of expectations are consistent with Minsky’s Financial Instability Hypothesis (FIH) and its corollaries.

Pseudo-wealth Fluctuations and Aggregate Demand Effects

Paper Conference paper | | Apr 2015

This paper presents a theory of pseudo-wealth in a model that displays aggregate demand externalities.

Featuring this expert

Puerto Rico Is Getting Squeezed, and It Will Cost All of Us

Article | Sep 12, 2017

The path of austerity could spread economic pain and social woes far beyond the Caribbean island, says public debt expert Martin Guzman