Jaume Ventura
Ramon Trias Fargas, 25-27
08005-Barcelona
- Anna Cano
- acano@crei.cat
- Phone: (+34) 93 542 2668
- International Economics and Macroeconomics
Working Papers
Publications
NOTE : In the case of publications that are not open-access, downloading, copying or printing for, or on behalf of, any for-profit commercial firm or other commercial purpose should not be done without the explicit permission of the corresponding publisher.
Journal of International Economics, 146, 2023, article 103747
Journal of the European Economic Association, 20 (3), 2022, 1276-1310
IMF Economic Review, 69 (1), 2021, 122-154
The Review of Economic Studies, 88 (3), 2021, 1418–1456
Read a non-technical summary on VOXEU
Journal of Monetary Economics, 109, 2020, 107-127
Journal of the European Economic Association, 17 (6), 2019, 1723-1752
Annual Review of Economics, 10 (1), 2018, 505-539
Quarterly Journal of Economics, 131 (3), 2016, 1497-1542
Journal of the European Economic Association, 14 (3), 2016, 753-789
Journal of Monetary Economics, 76 (S), 2015, S37-S56
Financial Reforms and Capital Flows: Insights from General Equilibrium (with A. Martin)
In R. Caballero and K. Schmidt-Hebbel (eds.), Economic Policies in Emerging-Market Economies, Central Bank of Chile, 2015, 109-138
Asset Bubbles and Sudden Stops in a Small Open Economy (with A. Martin)
In C. Raddatz, D. Saravia and J. Ventura (eds.), Global Liquidity, Spillovers to Emerging Markets, and Policy Responses, Central Bank of Chile, 2015, 315-341
Sovereign Debt Markets in Turbulent Times: Creditor Discrimination and Crowding-Out Effects (with F. Broner, A. Erce and A. Martin)
Journal of Monetary Economics, 61, 2014, 114-142
Economic Growth with Bubbles (with A. Martin)
American Economic Review, 102 (6), 2012, 3033-3058
Journal of Economic Theory, 147 (2), 2012, 738-758
Understanding Bubbly Episodes (with V. Carvalho and A. Martin)
American Economic Review: Papers & Proceedings, 102 (3), 2012, 95-100
Theoretical Notes on Bubbles and the Current Crisis (with A. Martin)
Read a non-technical summary on VOXEU
IMF Economic Review, 59 (1), 2011, 6-40
Globalization and Risk Sharing (with F. Broner)
The Review of Economic Studies, 78 (1), 2011, 49-82
Sovereign Risk and Secondary Markets (with F. Broner and A. Martin)
American Economic Review, 100 (4), 2010, 1523-1555
Enforcement Problems and Secondary Markets (with F. Broner and A. Martin)
Journal of the European Economic Association: Papers and Proceedings, 6 (2-3), 2008, 683-694
Comparative Advantage and the Cross-section of Business Cycles (with A. Kraay)
Journal of the European Economic Association, 5 (6), 2007, 1300-1333
Macroeconomic Volatility and Welfare in Developing Countries: An Introduction (with N. Loayza, R. Rancière and L. Servén)
The World Bank Economic Review, 21 (3), 2007, 343-357
The Dot-Com Bubble, the Bush Deficits, and the US Current Account (with A. Kraay)
In R. Clarida (eds.), G7 Current Account Imbalances: Sustainability and Adjustment, The University of Chicago Press, 2007, 457-495
A Global View of Economic Growth
In P. Aghion and S. N. Durlauf (eds.), Handbook of Economic Growth, Elsevier B. V., vol. 1B, 2005, 1419-1497
Country Portfolios (with A. Kraay, N. Loayza and L. Servén)
Journal of the European Economic Association, 3 (4), 2005, 914-945
Current Accounts in the Long and Short Run (with A. Kraay)
NBER Macroeconomics Annual 2002, 17 (1), 2003, 65-94
Towards a Theory of Current Accounts
The World Economy, 26 (4), 2002, 483-512
Trade Integration and Risk Sharing (with A. Kraay)
European Economic Review, 46 (6), 2002, 1023-1048
The World Income Distribution (with D. Acemoglu)
Quarterly Journal of Economics, 117 (2), 2002, 659-694
Product Prices and the OECD Cycle (with A. Kraay)
Advances in Macroeconomics, 2 (1), 2002, article 1
A Portfolio View of the US Current Account Deficit
Brookings Papers on Economic Activity, 32 (1), 2001, 241-258
Current Accounts in Debtor and Creditor Countries (with A. Kraay)
Quarterly Journal of Economics, 115 (4), 2000, 1137-1166
A Representative Consumer Theory of Distribution (with F. Caselli)
American Economic Review, 90 (4), 2000, 909-926
Growth and Interdependence
Quarterly Journal of Economics, 112 (1), 1997, 57-84
Short Bio and Picture
Jaume Ventura is Director and Senior Researcher at CREi, Professor at UPF, and Barcelona School of Economics Research Professor. He is the Director of the Barcelona GSE Master Program in International Trade, Finance, and Development. Prior to joining CREi and UPF, Prof. Ventura was a tenured associate professor at MIT. He also taught at the University of Chicago, London Business School, and INSEAD. Professor Ventura has worked full-time for the World Bank, and has acted as a consultant for the Inter-American Development Bank. He is Fellow of the Econometric Society and the European Economic Association. He is a Research Associate of NBER and Research Fellow of CEPR, where he has been Co-Director of the International Macroeconomics program (2004-11). He has been editor of the Economic Journal and associate editor of Quarterly Journal of Economics, Review of Economics and Statistics, and Journal of the European Economics Association.
Professor Ventura’s research specializes in Macroeconomics and International Economics. He has been the recipient of two Advanced Grants from the European Research Council (ERC).
Selected Publications
- “Monetary Policy for a Bubbly World” (with Asriyan, L. Fornaro and A. Martin), The Review of Economic Studies, 88 (3), 2021, 1418-1456.
- “Sharing a Government”, Journal of the European Economic Association, 17 (6), 2019, 1723-1752.
- “Rethinking the Effects of Financial Globalization” (with Broner), Quarterly Journal of Economics, 131 (3), 2016, 1497-1542.
- “Economic Growth with Bubbles” (with A. Martin), American Economic Review, 102 (6), 2012, 3033-3058.
- “Globalization and Risk Sharing” (with F. Broner), The Review of Economic Studies, 78 (1), 2011, 49-82.
- “Sovereign Risk and Secondary Markets”(with F. Broner and A. Martin), American Economic Review, 100 (4), 2010, 1523-1555.
- “The World Income Distribution” (with D. Acemoglu), Quarterly Journal of Economics, 117 (2), 2002, 659-694.
- “Growth and Interdependence”, Quarterly Journal of Economics, 112 (1), 1997, 57-84.