Division Head
Financial Analysis Division
Macro-financial Analysis and Monetary Policy Department
DG Economics, Statistics and Research
Información de contacto
- Calle Alcalá 48, 28014 Madrid, España
- Contact form
- Curriculum Vitae (195 KB)
Campos de interés
Credit risk, Derivatives and fixed income, Banking
JEL Codes
G1, G2
Publications
Bank Regulatory Capital Arbitrage: Evidence from Housing Overappraisals
Sergio Mayordomo, O. Rachedi and M. Rodríguez-Moreno (2023)
Journal: Management Science, Forthcoming
Distressed firms, zombie firms and zombie lending: a taxonomy
Sergio Mayordomo, L. Álvarez, and M. García-Posada (2023)
Journal of Banking and Finance, 149, 106762
Dollar borrowing, firm credit risk, and FX-hedged funding opportunities
Sergio Mayordomo, J. Gálvez, L. Gambacorta, and J. M. Serena (2021) Journal of Corporate Finance, 68, 101945
Bank Capital Requirements, Loan Guarantees and Firm Performance
Sergio Mayordomo, A. Moreno, S. Ongena, and M. Rodríguez-Moreno (2021) Journal of Financial Intermediation, 45, 100825
The China Syndrome Affects Banks: The Credit Supply Channel of Foreign Import Competition
Sergio Mayordomo, O. Rachedi (2022)
Journal of Financial and Quantitative Analysis, 57, pp. 3114-3144
Making Room for the Needy: The Credit-Reallocation Effects of the ECB’s Corporate QE
Sergio Mayordomo, Óscar Arce, and R. Gimeno (2021) Review of Finance, 25, pp. 43 – 84
Mutual Funding
Sergio Mayordomo, J. Gil-Bazo and P. Hoffmann (2020) Review of Financial Studies, 33, 4883-4915
Did the bank capital relief induced by the Supporting Factor enhance SME lending?
Sergio Mayordomo and M. Rodríguez-Moreno (2018)
Journal of Financial Intermediation 36, pp. 45-57
Dealing with Dealers: Sovereign CDS Comovements
Sergio Mayordomo, M. Antón and M. Rodríguez-Moreno (2018)
Journal of Banking and Finance 90, pp. 96-112
When does relationship lending start to pay?
Sergio Mayordomo, G. López-Espinosa and A. Moreno
Journal of Financial Intermediation 31, pp. 16-29