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Alberto Martin

Global rank #2074 97%

Institution: Barcelona School of Economics (BSE)

Primary Field: Macro (weighted toward more recent publications)

Homepage: https://crei.cat/people/martin/

First Publication: 2007

Most Recent: 2025

RePEc ID: pma513 ↗

Publication Scores

Scores use coauthorship adjustment: α/n credit per paper, where n = number of authors. α = 2.01: calibrated so average adjusted count equals average raw count (a zero-sum adjustment).

Period S (4x) A (2x) B (1x) C (½x) Total
Last 5 Years 2.75 0.50 0.00 0.00 12.00
Last 10 Years 2.75 2.18 2.01 0.00 17.36
All Time 5.09 8.38 4.02 0.00 41.16

Publication Statistics

Raw Publications 19
Coauthorship-Adjusted Count 17.57

Publications (19)

Year Article Journal Tier Authors
2025 Falling Interest Rates and Credit Reallocation: Lessons from General Equilibrium Review of Economic Studies S 5
2022 Collateral Booms and Information Depletion Review of Economic Studies S 3
2022 Fiscal Multipliers and Foreign Holdings of Public Debt Review of Economic Studies S 4
2021 Asset Bubbles and Monetary Policy Review of Economic Studies S 4
2021 Winners and losers from sovereign debt inflows Journal of International Economics A 4
2021 The Financial Transmission of Housing Booms: Evidence from Spain American Economic Review S 3
2018 Banks, government Bonds, and Default: What do the data Say? Journal of Monetary Economics A 3
2016 Comments on “Reverse speculative attacks” by M. Amador, J. Bianchi, L. Bocola and F. Perri Journal of Economic Dynamics and Control B 1
2016 Managing Credit Bubbles Journal of the European Economic Association A 2
2015 The international transmission of credit bubbles: Theory and policy Journal of Monetary Economics A 2
2014 Sovereign debt markets in turbulent times: Creditor discrimination and crowding-out effects Journal of Monetary Economics A 4
2014 Sovereign Default, Domestic Banks, and Financial Institutions Journal of Finance A 3
2013 International capital flows and credit market imperfections: A tale of two frictions Journal of International Economics A 2
2012 Understanding Bubbly Episodes American Economic Review S 3
2012 Economic Growth with Bubbles American Economic Review S 2
2010 Sovereign Risk and Secondary Markets American Economic Review S 3
2009 A model of collateral, investment, and adverse selection Journal of Economic Theory A 1
2008 On the role of retaliation in trade agreements Journal of International Economics A 2
2007 On Rothschild–Stiglitz as Competitive Pooling Economic Theory B 1