Content
2024
- 2444 Taming the curse of dimensionality: quantitative economics with deep learning
by Jesús Fernández-Villaverde & Galo Nuño & Jesse Perla - 2443 Gender and Career Progression: Evidence from the Banco de España
by Olympia Bover & Laura Hospido & Ana Lamo - 2442 Dual labor markets and the equilibrium distribution of firms
by Josep Pijoan-Mas & Pau Roldan-Blanco - 2441 A macroeconomic model of banks’ systemic risk taking
by Jorge Abad & David Martínez-Miera & Javier Suárez - 2440 Local lending specialization and monetary policy
by Alejandro Casado & David Martínez-Miera - 2439 Navigating by Falling Stars: Monetary Policy with Fiscally Driven Natural Rates
by Rodolfo G. Campos & Jesús Fernández-Villaverde & Galo Nuño & Peter Paz - 2438 Discrete Probability Forecasts: What to expect when you are expecting a monetary policy decision
by Alicia Aguilar & Ricardo Gimeno - 2437 How do changes in financial reporting standards affect relationship lending?
by Daniel Dejuan-Bitria & Wayne R. Landsman & Sergio Mayordomo & Irene Roibás - 2436 Inputs in Distress: Geoeconomic Fragmentation and Firms’ Sourcing
by Ludovic Panon & Laura Lebastard & Michele Mancini & Alessandro Borin & Peonare Caka & Gianmarco Cariola & Dennis Essers & Elena Gentili & Andrea Linarello & Tullia Padellini & Francisco Requena & Jacopo Timini - 2435 China’s financial spillovers to emerging markets
by Rodolfo G. Campos & Ana-Simona Manu & Luis Molina & Marta Suárez-Varela - 2434 Female Financial Portfolio Choices and Marital Property Regimes
by Lidia Cruces & Isabel Micó-Millán & Susana Párraga - 2433 The public-private wage GAP in the euro area a decade after the sovereign debt crisis
by Víctor Caballero & Corinna Ghirelli & Ángel Luis Gómez & Javier J. Pérez - 2432 “El Niño” and “La Niña”: Revisiting the impact on food commodity prices and euro area consumer prices
by Fructuoso Borrallo & Lucía Cuadro-Sáez & Corinna Ghirelli & Javier J. Pérez - 2431 ECB communication and its impact on financial markets
by Klodiana Istrefi & Florens Odendahl & Giulia Sestieri - 2430 The transmission of monetary policy to credit supply in the euro area
by Miguel García-Posada & Peter Paz - 2429 Constructing fan charts from the ragged edge of SPF forecasts
by Todd E. Clark & Gergely Ganics & Elmar Mertens - 2428 Bank supervision and non-performing loan cleansing
by Soner Baskaya & José E. Gutiérrez & José María Serena & Serafeim Tsoukas - 2426 Bridging the Gap? Fintech and financial inclusion
by Josep Gisbert & José E. Gutiérrez - 2425 Green energy transition and vulnerability to external shocks
by Rubén Domínguez-Díaz & Samuel Hurtado - 2423 Sovereign uncertainty
by Edgar Silgado-Gómez - 2422 The impact of sovereign debt purchase programms. A case study: the Spanish-to-Portuguese bond yield spread
by Fernando Cerezo & Pablo Girón & María T. González-Pérez & Roberto Pascual - 2421 Access to credit and firm survival during a crisis: the case of zero-bank-debt firms
by Roberto Blanco & Miguel García-Posada & Sergio Mayordomo & María Rodríguez-Moreno - 2420 Shadow seniority? Lending relationships and borrowers’ selective default
by Francisco González & José E. Gutiérrez & José María Serena - 2419 Stabilisation properties of a sure-like European unemployment insurance
by Daniel Alonso - 2418 HANK beyond FIRE: Amplification, forward guidance, and belief shocks
by José-Elías Gallegos - 2417 Analysing the VAT cut pass-through in Spain using web-scraped supermarket data and machine learning
by Nicolás Forteza & Elvira Prades & Marc Roca - 2416 The effects of the ECB’s unconventional monetary policies from 2011 to 2018 on banking assets
by Gerald P. Dwyer & Biljana Gilevska & María J. Nieto & Margarita Samartín - 2415 Family and career: An analysis across Europe and North America
by Luis Guirola & Laura Hospido & Andrea Weber - 2413 Should macroprudential policy target corporate lending? Evidence from credit standards and defaults
by Luis Férnandez Lafuerza & Jorge E. Galán - 2411 The impact of the Countercyclical Capital Buffer on credit: Evidence from its accumulation and release before and during COVID-19
by Mikel Bedayo & Jorge E. Galán - 2410 Climate transition risk and the role of bank capital requirements
by Salomón García-Villegas & Enric Martorell - 2409 The bright side of the doom loop: banks’ sovereign exposure and default incentives
by Luis E. Rojas & Dominik Thaler - 2408 Estimating the contribution of macroeconomic factors to sovereign bond spreads in the euro area
by Pablo Burriel & Mar Delgado-Téllez & Camila Figueroa & Iván Kataryniuk & Javier J. Pérez - 2405 Estimating individual responses when tomorrow matters
by Stéphane Bonhomme & Angela Denis - 2404 CBDC and the operational framework of monetary policy
by Jorge Abad & Galo Nuño & Carlos Thomas - 2403 The heterogeneous impact of inflation on households’ balance sheets
by Clodomiro Ferreira & José Miguel Leiva & Galo Nuño & Álvaro Ortiz & Tomasa Rodrigo & Sirenia Vazquez - 2402 The medium-term effects of investment stimulus
by Rubén Domínguez-Díaz & Samuel Hurtado & Carolina Menéndez - 2401 Gender gaps in financial literacy: a multi-arm RCT to break the response bias in surveys
by Laura Hospido & Nagore Iriberri & Margarita Machelett
2023
- 2336 "Green regulation": a quantification of regulations related to renewable energy, sustainable transport, pollution and energy efficiency between 2000 and 2022
by Juan S. Mora-Sanguinetti & Andrés Atienza-Maeso - 2335 Do Teams Alleviate or Exacerbate the Extrapolation Bias in the Stock Market?
by Ricardo Barahona & Stefano Cassella & Kristy A. E. Jansen - 2334 Climate-conscious monetary policy
by Anton Nakov & Carlos Thomas - 2333 Gender price gaps and competition: Evidence from a correspondence study
by Margarita Machelett - 2332 Dividend Restrictions and Search for Income
by Esther Cáceres & Matías Lamas - 2331 Taxing consumption in unequal economies
by Patrick Macnamara & Myroslav Pidkuyko & Raffaele Rossi - 2330 A Score Function to Prioritize Editing in Household Survey Data: A Machine Learning Approach
by Nicolás Forteza & Sandra García-Uribe - 2329 How far has globalization gone? a tale of two regions
by Rodolfo Campos & Samuel Pienknagura & Jacopo Timini - 2328 Effects of Carbon Pricing in Germany and Spain: An Assessment with EMuSe
by Natascha Hinterlang - 2327 Household portfolio choices under (non-)linear income risk: an empirical framework
by Julio Gálvez - 2326 Assessing the data challenges of climate-related disclosures in european banks. A text mining study
by Ángel Iván Moreno & Teresa Caminero - 2325 Sovereign portfolio composition and bank risk: the case of European banks
by Selva Bahar Baziki & María J. Nieto & Rima Turk-Ariss - 2324 Machine learning applied to active fixed-income portfolio management: a Lasso logit approach
by Mercedes de Luis & Emilio Rodríguez & Diego Torres - 2323 Optimal regulation of credit lines
by José E. Gutiérrez - 2322 New technologies and jobs in Europe
by Stefania Albanesi & António Dias da Silva & Juan F. Jimeno & Ana Lamo & Alena Wabitsch - 2321 Analysis of CBDC Narrative OF Central Banks using Large Language Models
by Andres Alonso-Robisco & Jose Manuel Carbo - 2320 Los números de la regulación sobre igualdad. Cuantificación de la actividad normativa sobre no discriminación en España y su relación con las brechas de género en el mercado de trabajo
by Juan S. Mora-Sanguinetti & Laura Hospido & Andrés Atienza-Maeso - 2320 The numbers of equality regulation. Quantifying regulatory activity on non-discrimination and its relationship with gender gaps in the labour market
by Juan S. Mora-Sanguinetti & Laura Hospido & Andrés Atienza-Maeso - 2319 Underlying inflation and asymetric risks
by Hervé Le Bihan & Danilo Leiva-León & Matías Pacce - 2318 Public Guarantees and Private Banks’ Incentives: Evidence from the COVID-19 Crisis
by Gabriel Jiménez & Luc Laeven & David Martínez-Miera & José-Luis Peydró - 2317 When death was postponed: the effect of hiv medication on work, savings and marriage
by Mette Ejrnæs & Esteban García-Miralles & Mette Gørtz & Petter Lundborg - 2316 The amplification effects of adverse selection in mortgage credit suply
by Salomón García - 2315 Discrimination against gay and transgender people in Latin America: a correspondence study in the rental housing market
by Nicolás Abbate & Inés Berniell & Joaquín Coleff & Luis Laguinge & Margarita Machelett & Mariana Marchionni & Julián Pedrazzi & María Florencia Pinto - 2314 How to measure inFLAtion volatility. A note
by Alfredo García-Hiernaux & María T. González-Pérez & David E. Guerrero - 2313 The long-term causal effects of winning an ERC grant
by Corinna Ghirelli & Enkelejda Havari & Elena Meroni & Stefano Verzillo - 2312 Sector-level economic effects of regulatory complexity: evidence from Spain
by Juan S. Mora-Sanguinetti & Javier Quintana & Isabel Soler & Rok Spruk - 2311 The public investment multiplier in a production network
by Alessandro Peri & Omar Rachedi & Iacopo Varotto - 2310 Machine Learning methods in climate finance: a systematic review
by Andrés Alonso-Robisco & José Manuel Carbó & José Manuel Marqués - 2309 Inflation persistence, noisy information and the Phillips curve
by José-Elías Gallegos - 2308 Debt overhang, credit demand and financial conditions
by Isabel Argimón & Irene Roibás - 2307 Do Renewables Create Local Jobs?
by Natalia Fabra & Eduardo Gutiérrez & Aitor Lacuesta & Roberto Ramos - 2306 Trust and accountability in times of pandemics
by Monica Martinez-Bravo & Carlos Sanz - 2305 A production network model for the Spanish economy with an application to the impact of NGEU funds
by Alejandro Fernández-Cerezo & Enrique Moral-Benito & Javier Quintana - 2304 A new supply bottlenecks index based on newspaper data
by Pablo Burriel & Iván Kataryniuk & Carlos Moreno Pérez & Francesca Viani - 2303 Evaluating central bank asset purchases in a term structure model with a forward-looking supply factor
by Juan Equiza & Ricardo Gimeno & Antonio Moreno & Carlos Thomas - 2302 A tale of two margins: monetary policy and capital misallocation
by Silvia Albrizio & Beatriz González & Dmitry Khametshin - 2301 The forgotten lender: the role of multilateral lenders in sovereign debt and default
by María Bru Muñoz
2022
- 2245 Credit Line Runs and Bank Risk Management: Evidence from the Disclosure of Stress Test Results
by José E. Gutiérrez & Luis Fernández Lafuerza - 2244 A house price-at-risk model to monitor the downside risk for the spanish housing market
by Gergely Ganics & María Rodríguez-Moreno - 2243 Do buffer requirements for european systemically important banks make them less systemic?
by Carmen Broto & Luis Fernández Lafuerza & Mariya Melnychuk - 2242 The economic impact of conflict-related and policy uncertainty shocks: the case of Russia
by Marina Diakonova & Corinna Ghirelli & Javier J. Pérez & Luis Molina - 2241 Richer earnings dynamics, consumption and portfolio choice over the life cycle
by Julio Gálvez & Gonzalo Paz-Pardo - 2240 “Making Text Talk”: The Minutes of the Central Bank of Brazil and the Real Economy
by Carlos Moreno Pérez & Marco Minozzo - 2239 Data outliers and Bayesian VARs in the Euro Area
by Luis J. Álvarez & Florens Odendahl - 2238 Enforcing Mandatory Reporting on Private Firms: The Role of Banks
by Miguel Duro & Germán López-Espinosa & Sergio Mayordomo & Gaizka Ormazabal & María Rodríguez-Moreno - 2237 Polarization contaminates the link with partisan and independent institutions: evidence from 138 cabinet shifts
by Luis Guirola & Gonzalo Rivero - 2236 Macroprudential FX Regulations: Sacrificing Small Firms for Stability?
by María Alejandra Amado - 2235 Using newspapers for textual indicators: which and how many?
by Erik Andres-Escayola & Corinna Ghirelli & Luis Molina & Javier J. Pérez & Elena Vidal - 2234 Bank capitalization heterogeneity and monetary policy
by Peter Paz - 2233 Government Procurement and Access to Credit: Firm Dynamics and Aggregate Implications
by Julian di Giovanni & Manuel García-Santana & Priit Jeenas & Enrique Moral-Benitoz & Josep Pijoan-Mas - 2232 The information content of conflict, social unrest and policy uncertainty measures for macroeconomic forecasting
by Marina Diakonova & Luis Molina & Hannes Mueller & Javier J. Pérez & Cristopher Rauh - 2231 Carbon pricing and inflation volatility
by Daniel Santabárbara & Marta Suárez-Varela - 2230 Could Spain be less different? Exploring the effects of macroprudential policy on the house price cycle
by Adrian Carro - 2229 Monetary Policy Uncertainty in Mexico: An Unsupervised Approach
by Carlos Moreno Pérez & Marco Minozzo - 2228 Natural Language Processing and Financial Markets: Semi-supervised Modelling of Coronavirus and Economic News
by Carlos Moreno Pérez & Marco Minozzo - 2227 Forced migration and food crises
by Federico Carril-Caccia & Jordi Paniagua & Marta Suárez-Varela - 2226 Integrating the carbon footprint into the construction of corporate bond portfolios
by Mario Bajo & Emilio Rodríguez - 2225 New Facts on Consumer Price Rigidity in the Euro Area
by Erwan Gautier & Cristina Conflitti & Riemer P. Faber & Brian Fabo & Ludmila Fadejeva & Valentin Jouvanceau & Jan-Oliver Menz & Teresa Messner & Pavlos Petroulas & Pau Roldan-Blanco & Fabio Rumler & Sergio Santoro & Elisabeth Wieland & Hélène Zimmer - 2224 The unequal consequences of job loss across countries
by Antoine Bertheau & Edoardo Maria Acabbi & Cristina Barceló & Andreas Gulyas & Stefano Lombardi & Raffaele Saggio - 2223 The Term Structure of Interest Rates in a Heterogeneous Monetary Union
by James Costain & Galo Nuño & Carlos Thomas - 2222 Accuracy of explanations of machine learning models for credit decisions
by Andrés Alonso & José Manuel Carbó - 2221 Mortgage securitization and information frictions in general equilibrium
by Salomón García - 2220 A quantification of the evolution of bilateral trade flows Once bilateral RTAs are implemented
by Blanca Jiménez-García & Julio Rodríguez - 2219 Distressed firms, zombie firms and zombie lending: a taxonomy
by Laura Álvarez & Miguel García-Posada & Sergio Mayordomo - 2218 Make-up Strategies with Finite Planning Horizons but Forward-Looking Asset Prices
by Stéphane Dupraz & Hervé Le Bihan & Julien Matheron - 2217 Heterogeneous effects and spillovers of macroprudential policy in an agent-based model of the UK housing market
by Adrián Carro & Marc Hinterschweiger & Arzu Uluc & J. Doyne Farmer - 2216 Childcare constraints on immigrant integration
by Luis Guirola & María Sánchez-Domínguez - 2215 Application of machine learning models and interpretability techniques to identify the determinants of the price of bitcoin
by José Manuel Carbó & Sergio Gorjón - 2214 Asset Holdings, Information Aggregation in Secondary Markets and Credit Cycles
by Henrique S. Basso - 2213 The propagation of worldwide sector-specific shocks
by Mario Izquierdo & Enrique Moral-Benito & Elvira Prades & Javier Quintana - 2212 Uncertainty, non-linear contagion and the credit quality channel: an application to the Spanish interbank market
by Adrián Carro & Patricia Stupariu - 2211 Dual returns to experience
by Jose Garcia-Louzao & Laura Hospido & Alessandro Ruggieri - 2210 Fresh start policies and small business activity: evidence from a natural experiment
by Marco Celentani & Miguel García-Posada & Fernando Gómez Pomar - 2209 Thick borders in Franco’s Spain: the costs of a closed economy
by Rodolfo G. Campos & Iliana Reggio & Jacopo Timini - 2208 Skewed SVARs: tracking the structural sources of macroeconomic tail risks
by Carlos Montes-Galdón & Eva Ortega - 2207 The role of a green factor in stock prices. When Fama & French go green
by Ricardo Gimeno & Clara I. González - 2206 Financial exclusion and sovereign default: the role of official lenders
by María Bru Muñoz - 2205 Housing prices in Spain: convergence or decoupling?
by Corinna Ghirelli & Danilo Leiva-León & Alberto Urtasun - 2204 Inequality and psychological well-being in times of COVID-19: evidence from Spain
by Monica Martinez-Bravo & Carlos Sanz - 2202 La regulación sectorial en España. Resultados cuantitativos
by Juan S. Mora-Sanguinetti & Isabel Soler
2021
- 2203 Roots and Recourse Mortgages: Handing back the keys
by Jorge E. Galán & Matías Lamas & Raquel Vegas - 2201 Dampening the financial accelerator? direct lenders and monetary policy
by Ryan Banerjee & José-María Serena - 2145 Firm heterogeneity, capital misallocation and optimal monetary policy
by Beatriz González & Galo Nuño & Dominik Thaler & Silvia Albrizio - 2144 Do analysts forecast differently in periods of uncertainty? An empirical analysis of target prices for Spanish banks
by Roberto Pascual - 2143 Measuring TFP: The role of profits, adjustment costs, and capacity utilization
by Diego Comin & Javier Quintana & Tom Schmitz & Antonella Trigari - 2142 Inflation tolerance ranges in the new keynesian model
by Hervé Le Bihan & Magali Marx & Julien Matheron - 2141 Brexit: Cyclical dependence in market neutral hedge funds
by Julio A. Crego & Julio Gálvez - 2140 Brexit: Trade diversion due to trade policy uncertainty
by Eduardo Gutiérrez & Aitor Lacuesta & César Martín Machuca - 2139 An automatic algorithm to date the reference cycle of the Spanish economy
by Máximo Camacho & María Dolores Gadea & Ana Gómez Loscos - 2138 Do inflation expectations improve model-based inflation Forecasts?
by Marta Bañbura & Danilo Leiva-León & Jan-Oliver Menz - 2137 Optimal Monetary Policy with the Risk-Taking Channel
by Angela Abbate & Dominik Thaler - 2136 Income Risk Inequality: Evidence from Spanish Administrative Records
by Manuel Arellano & Stéphane Bonhomme & Micole De Vera & Laura Hospido & Siqi Wei - 2135 House prices and misallocation: The impact of the collateral channel on productivity
by Sergi Basco & David López-Rodríguez & Enrique Moral-Benito - 2134 Tracking weekly state-level economic conditions
by Christiane Baumeister & Danilo Leiva-León & Eric Sims - 2133 Does political polarization affect economic expectations?: Evidence from three decades of cabinet shifts in Europe
by Luis Guirola - 2132 Business complexity and geographic expansion in banking
by Isabel Argimón & María Rodríguez-Moreno - 2131 Asset encumbrance and bank risk: theory and first evidence from public disclosures in Europe
by Albert Banal-Estañol & Enrique Benito & Dmitry Khametshin & Jianxing Wei - 2130 Sectorial holdings and stock prices: the household-bank nexus
by Matías Lamas & David Martínez-Miera - 2129 Rates of SARS-COV-2 transmission and vaccination impact the fate of vaccine-resistant strains
by Simón A. Rella & Yuliya A. Kulikova & Emmanouil T. Dermitzakis & Fyodor A. Kondrashov - 2128 Lessons from estimating the average option-implied volatility term structure for the Spanish banking sector
by María T. González-Pérez - 2127 The impact of heterogeneous unconventional monetary policies on the expectations of market crashes
by Irma Alonso & Pedro Serrano & Antoni Vaello-Sebastià - 2126 The causal impact of removing children from abusive and neglectful homes
by Anthony Bald & Eric Chyn & Justine Hastings & Margarita Machelett - 2125 ECB euro liquidity lines
by Silvia Albrizio & Iván Kataryniuk & Luis Molina & Jan Schäfer - 2124 The impact of COVID-19 on analysts’ sentiment about the banking sector
by Alicia Aguilar & Diego Torres - 2123 Awareness of pandemics and the impact of COVID-19
by Alejandro Buesa & Javier J. Pérez & Daniel Santabárbara - 2122 Revisiting the 'Cobden-Chevalier network' trade and welfare effects
by Jacopo Timini - 2121 The effect of tariffs on Spanish goods exports
by Eduardo Gutiérrez & César Martín Machuca - 2120 Firm-level heterogeneity in the impact of the COVID-19 pandemic
by Alejandro Fernández-Cerezo & Beatriz González & Mario Izquierdo & Enrique Moral-Benito - 2119 Recycling carbon tax revenues in Spain. Environmental and economic assessment of selected green reforms
by Ángel Estrada & Daniel Santabárbara - 2118 Democracy, technocracy and economic growth: evidence from 20 century Spain
by Alessandro Melcarne & Juan S. Mora-Sanguinetti & Rok Spruk - 2117 Structural gravity and trade agreements: does the measurement of domestic trade matter?
by Rodolfo G. Campos & Jacopo Timini & Elena Vidal - 2116 Marginal tax changes with risky investment
by Patrick Macnamara & Myroslav Pidkuyko & Raffaele Rossi - 2115 Import competition, regional divergence, and the rise of the skilled city
by Javier Quintana - 2114 Unequal trade, unequal gains: the heterogeneous impact of MERCOSUR
by Rodolfo G. Campos & Jacopo Timini - 2113 Does the added worker effect matter?
by Nezih Guner & Yuliya A. Kulikova & Arnau Valladares-Esteban - 2112 Price setting in Chile: Micro evidence from consumer on-line prices during the social outbreak and Covid-19
by Jennifer Peña & Elvira Prades - 2111 Time variation in lifecycle consumption and income
by Yunus Aksoy & Henrique S. Basso & Carolyn St Aubyn - 2110 Fed communication on financial stability concerns and monetary policy decisions: revelations from speeches
by Klodiana Istrefi & Florens Odendahl & Giulia Sestieri - 2109 Weather, mobility and the evolution of the Covid-19 pandemic
by Corinna Ghirelli & Andrea González & José Luis Herrera & Samuel Hurtado - 2108 Endogenous time variation in vector autoregressions
by Danilo Leiva-Leon & Luis Uzeda - 2107 New dimensions of regulatory complexity and their economic cost. An analysis using text mining
by Juan de Lucio & Juan S. Mora-Sanguinetti - 2106 Market polarization and the phillips curve
by Javier Andrés & Óscar Arce & Pablo Burriel - 2105 Understanding the performance of machine learning models to predict credit default: a novel approach for supervisory evaluation
by Andrés Alonso & José Manuel Carbó - 2104 Are we moving towards an energy-efficient low-carbon economy? An input-output LMDI decomposition of CO2 emissions for Spain and the EU28
by Darío Serrano-Puente - 2103 EMU deepening and sovereign debt spreads: using political space to achieve policy space
by Iván Kataryniuk & Víctor Mora-Bajén & Javier J. Pérez - 2102 Economic uncertainty and divisive politics: evidence from the dos Españas
by Sandra García-Uribe & Hannes Mueller & Carlos Sanz - 2101 Optimal progressivity of personal income tax: a general equilibrium evaluation for Spain
by Darío Serrano-Puente
2020
- 2043 Reforming the individual income tax in Spain
by Nezih Guner & Javier López-Segovia & Roberto Ramos - 2042 The narrative about the economy as a shadow forecast: an analysis using Banco de España quarterly reports
by Nélida Díaz Sobrino & Corinna Ghirelli & Samuel Hurtado & Javier J. Pérez & Alberto Urtasun - 2041 Urban air pollution and sick leaves: evidence from social security data
by Felix Holub & Laura Hospido & Ulrich J. Wagner - 2040 Who Truly Bears (Bank) Taxes? Evidence from Only Shifting Statutory Incidence
by Gabriel Jiménez & David Martínez-Miera & José-Luis Peydró - 2039 The short- and long-run employment impact of COVID-19 through the effects of real and financial shocks on new firms
by Christoph Albert & Andrea Caggese & Beatriz González - 2038 Why cognitive test scores of spanish adults are so low? the role of schooling and socioeconomic background
by Brindusa Anghel & Pilar Cuadrado & Federico Tagliati - 2037 Screening and loan origination time: lending standards, loan defaults and bank failures
by Mikel Bedayo & Gabriel Jiménez & José-Luis Peydró & Raquel Vegas - 2036 Wage determination and the bite of collective contracts in Italy and Spain: evidence from the metal working industry
by Effrosyni Adamopoulou & Ernesto Villanueva - 2035 Application of text mining to the analysis of climate-related disclosures
by Ángel Iván Moreno & Teresa Caminero - 2034 Spillover effects in international business cycles
by Máximo Camacho & Matías Pacce & Gabriel Pérez-Quirós - 2033 Raising markups to survive: small Spanish firms during the Great Recession
by Pilar García-Perea & Aitor Lacuesta & Pau Roldan-Blanco - 2032 Machine learning in credit risk: measuring the dilemma between prediction and supervisory cost
by Andrés Alonso & José Manuel Carbó - 2031 Gender equality and the math gender gap
by Brindusa Anghel & Núria Rodríguez-Planas & Anna Sanz-de-Galdeano - 2030 Macroeconomics, firm dynamics and IPOs
by Beatriz González - 2029 Economic consequences of high public debt: evidence from three large scale DSGE models
by Pablo Burriel & Cristina Checherita-Westphal & Pascal Jacquinot & Matthias Schön & Nikolai Stähler - 2028 The spatial distribution of population in Spain: an anomaly in european perspective
by Eduardo Gutiérrez & Enrique Moral-Benito & Roberto Ramos & Daniel Oto-Peralías - 2027 Can news help measure economic sentiment? An application in COVID-19 times
by Pablo Aguilar & Corinna Ghirelli & Matías Pacce & Alberto Urtasun - 2026 Spanish regions in Global Value Chains: How important? How different?
by Elvira Prades-Illanes & Patrocinio Tello-Casas - 2025 The decline in public investment: “social dominance” or too-rigid fiscal rules?
by Mar Delgado-Téllez & Esther Gordo & Iván Kataryniuk & Javier J. Pérez - 2024 Economic policy uncertainty in Latin America: measurement using Spanish newspapers and economic spillovers
by Corinna Ghirelli & Javier J. Pérez & Alberto Urtasun - 2023 A highway across the Atlantic? Trade and welfare effects of the EU-Mercosur agreement
by Jacopo Timini & Francesca Viani - 2022 Can subsidized employment tackle long-term unemployment? Experimental evidence from North Macedonia
by Alex Armand & Pedro Carneiro & Federico Tagliati & Yiming Xia - 2021 The impact of alternative forms of bank consolidation on credit supply and financial stability
by Sergio Mayordomo & Nicola Pavanini & Emanuele Tarantino - 2020 Loan types and the bank lending channel
by Victoria Ivashina & Luc Laeven & Enrique Moral-Benito - 2019 Keeping track of global trade in real time
by Jaime Martínez-Martín & Elena Rusticelli - 2018 Macro-financial interactions in a changing world
by Eddie Gerba & Danilo Leiva-Leon - 2017 The heterogeneous effects of trade agreements with labor provisions (Updated March 2021)
by Jacopo Timini & Nicola Cortinovis & Fernando López Vicente - 2016 Deciphering the macroeconomic effects of internal devaluations in a monetary union
by Javier Andrés & Óscar Arce & Samuel Hurtado & Jesús Fernández-Villaverde - 2015 Real-time weakness of the global economy: a first assessment of the coronavirus crisis
by Danilo Leiva-Leon & Gabriel Perez-Quiros & Eyno Rots - 2014 Hedger of last resort: evidence from Brazilian FX interventions, local credit, and global financial cycles
by Rodrigo Barbone Gonzalez & Dmitry Khametshin & José-Luis Peydró & Andrea Polo - 2013 Financial frictions and the wealth distribution
by Jesús Fernández-Villaverde & Samuel Hurtado & Galo Nuño - 2012 External imbalances and recoveries
by Mariam Camarero & María Dolores Gadea-Rivas & Ana Gómez-Loscos & Cecilio Tamarit - 2011 Sentiment analysis of the Spanish Financial Stability Report
by Ángel Iván Moreno Bernal & Carlos González Pedraz - 2011 Análisis de sentimiento del Informe de Estabilidad Financiera
by Ángel Iván Moreno Bernal & Carlos González Pedraz