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Department of Economics UC3M: Javier Díaz-Giménez


Javier Díaz-Giménez
Curriculum Vitae


Javier Díaz-Giménez is Associate Professor at the Department of Economics, Universidad Carlos III de Madrid.

Contact Information

Education

  • Ph.D. in Economics: University of Minnesota, 1990.
  • B.A. in Economics: Universidad Autónoma de Madrid, 1983.


Fields of Interest

  • Dynamic Macroeconomics.
  • Computable General Equilibrium.
  • Monetary Economics.


Professional Experience

  • 1998–: Profesor Titular de Fundamentos del Análisis Económico del Departamento de Economía de la Universidad Carlos III de Madrid.
  • 1990/98: Profesor Visitante en el Departamento de Economía de la Universidad Carlos III de Madrid.
  • 1989/90: Profesor Visitante en el Departamento de Economía Cuantitativa de la Universidad Complutense de Madrid.


Work in progress

  1. "Nominal debt as a burden on monetary policy" con G. Giovannetti, R. Marimon y P. Teles. Mimeo.
  2. "Economic Inequality in Spain: the European Union Household Panel Dataset" con Santiago Budría. Mimeo.
  3. "The distributional implications of flat taxes" con J.-V. Ríos-Rull. Mimeo.

    Publications


Papers in Journals with Anonymous Referees

  • "Accounting for earnings and wealth inequality" con A. Castañeda y J.V. Ríos-Rull. Journal of Political Economy 111: 818–857 (2003).
  • "Updated Facts on the U.S. Distributions of Earnings, Income and Wealth". con S. Budr´ýa, V. Quadrini y J.-V. Ríos-Rull. Federal Reserve Bank of Minneapolis Quarterly Review 26, 2–35, (2002).
  • "Exploring the income distribution dynamics" con A. Castañeda y J.V. Ríos-Rull Journal of Monetary Economics 42: 93–130 (1998).
  • "Borrowing constraints in economies with household capital and banking" con L. Puch. Investigaciones Económicas XXII (3): 469–499 (1998).
  • "Real returns on government debt: a general equilibrium quantitative exploration." (junto a Prescott, E.C.) European Economic Review 41: 115-37, 1997.
  • "Uninsured idiosyncratic risk, liquidity constraints and aggregate fluctuations." Economic Theory 10: 463-82, 1997.
  • "Dimensions of inequality: facts on the U.S. distributions of earnings, income and wealth." (junto a Quadrini, V. y Ríos-Rull, J.V.) Quarterly Review Federal Reserve Bank of Minneapolis Quarterly Review 21: 3-21, 1997.
  • "Banking in computable general equilibrium economies." (junto a Alvárez, Fernando, C., Edward y Fitzgerald, Terry) Journal of Economic Dynamics and Control 16: 533-559, 1992.


Papers in Other Journals

  • "Comentario del artículo "La riqueza de las regiones" de Xavier Sala-i-Martin." Moneda y Crédito 198: 70-74, 1994.
  • "Cambio de tendencia en la recesión." (joint with Romero, González) Economistas 60: 358-68, 1994.


Collaborations in Collective Works

  • "Linear Quadratic Approximations: An Introduction." Capítulo 2 de Computational Methods for the Study of Dynamic Economies, 13–29. editado por R. Marimon y A. Scott. Oxford University Press. Oxford (1999).
  • "Systems development for an experimental economics laboratory." (joint with Johnson, Mark, L., Gordon and S., Shyam) In Proceedings of the IBM ACIS University Conference. , 1987.


Books

  • Macroeconomía: primeros conceptos. 476 páginas. Antoni Bosch Editor. Barcelona (1999).