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Maria Rodriguez Moreno
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Systemic risk measures: The simpler the better?
M Rodríguez-Moreno, JI Peña
Journal of Banking & Finance 37 (6), 1817-1831, 2013
2842013
Derivatives holdings and systemic risk in the US banking sector
S Mayordomo, M Rodriguez-Moreno, JI Peña
Journal of Banking & Finance 45, 84-104, 2014
1182014
Fragmentation in the European interbank market: Measures, determinants, and policy solutions
S Mayordomo, M Abascal, T Alonso, M Rodriguez-Moreno
Journal of Financial Stability 16, 1-12, 2015
422015
Liquidity commonalities in the corporate CDS market around the 2007–2012 financial crisis
S Mayordomo, M Rodriguez-Moreno, JI Peña
International Review of Economics & Finance 31, 171-192, 2014
382014
Systemic risk measures: the simpler the better?
M Rodríguez-Moreno, JI Peña
bis Papers 60, 2011
282011
Violating the law of one price: the role of non-conventional monetary policy
S Corradin, M Rodriguez-Moreno
ECB Working Paper, 2016
252016
Limits to arbitrage: Empirical evidence from Euro area sovereign bond markets
S Corradin, M Rodriguez-Moreno
Available at SSRN 2247312, 2014
252014
Did the bank capital relief induced by the Supporting Factor enhance SME lending?
S Mayordomo, M Rodríguez-Moreno
Journal of Financial Intermediation 36, 45-57, 2018
232018
Dealing with dealers: Sovereign CDS comovements
M Antón, S Mayordomo, M Rodríguez‐Moreno
Journal of Banking & Finance 90, 96-112, 2018
192018
Dealing with dealers: Sovereign CDS comovements
M Antón, S Mayordomo, M Rodríguez‐Moreno
Journal of Banking & Finance 90, 96-112, 2018
192018
Bank capital requirements, loan guarantees and firm performance
S Mayordomo, A Moreno, S Ongena, M Rodriguez-Moreno
Journal of Financial Intermediation 45, 100825, 2021
112021
‘Support Is Appreciated’: On the Effectiveness of the SME Supporting Factor
S Mayordomo, M Rodriguez-Moreno
SSRN Electronic Journal, 2017
112017
How do European banks cope with macroprudential capital requirements
S Mayordomo, M Rodriguez-Moreno
Finance Research Letters 38, 101459, 2021
82021
Derivatives holdings and systemic risk in the US banking sector
S Mayordomo, M Rodriguez-Moreno, JI Peña
arXiv preprint arXiv:2202.02254, 2022
62022
Risk and control in complex banking groups
I Argimón, M Rodríguez-Moreno
Journal of Banking & Finance 134, 106038, 2022
52022
Portfolio choice with indivisible and illiquid housing assets: the case of Spain
S Mayordomo, M Rodríguez-Moreno, JI Peña
Quantitative Finance 14 (11), 2045-2064, 2014
52014
Bank regulatory capital arbitrage: evidence from housing overappraisals
S Mayordomo, O Rachedi, MR Moreno
Tech. rept. 36, 2020
42020
At-risk measures and financial stability
JE Galán, M Rodríguez-Moreno
Revista de Estabilidad Financiera 1 (39), 71-96, 2020
42020
'Keeping it Personal'or'Getting Real'? On the Drivers and Effectiveness of Personal versus Real Loan Guarantees
S Mayordomo, A Moreno, S Ongena, M Rodríguez-Moreno
Banco de Espana Working Paper, 2017
42017
Business complexity and geographic expansion in banking
I Argimón, M Rodríguez-Moreno
Banco de Espana Working Paper, 2021
32021
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Articles 1–20