Staff Economist
Head of the Macroprudential Strategy Unit
Financial Stability and Macroprudential Policy Department
DG Financial Stability Regulation and Resolution
Información de contacto
- C/ Alcalá 48 - 28014 Madrid
- Contact form
- https://sites.google.com/site/jegalanc/
- Curriculum Vitae (230 KB)
Campos de interés
Bank efficiency, Macroprudential Policy, Cyclical Systemic Risk, Real Estate
Journal of Banking and Finance, 181, 107566. (2025).
Macroprudential policy and the tail risk of credit growth J.E. Galán
Working Papers – Banco de España, 2509. (2025).
Working Papers – Banco de España, 2411. (2024)
Roots and recourse mortgages: handing back the keys Galán J.E. , M. Lamas and R. Vegas
Working Papers – Banco de España, 2203 (2022)
CREWS: A CAMELS-based Early Warning System of Systemic Risk in the Banking Sector Galán, J.E.
Banco de España Occasional Papers, 2132, (2021)
Journal of Money, Credit and Banking, 57, 107-150. (2025).
Green light for green credit? Evidence from its impact on bank efficiency Galán, J.E. and Y. Tan
International Journal of Finance and Economics, 29:531-550 (2024)
Energy Economics, 46: 31-44. (2014)
Journal of Financial Stability, 74,100831. (2024).
Model-based indicators for the identification of cyclical systemic risk Galán, J.E. and Mencía, J.
Empirical Economics, 61: 3179–3211. (2021).
Measuring credit-to-GDP gaps. The Hodrick-Prescott filter revisited Galán, J.E.
Banco de España Occasional Papers No. 1906. (2019)
Drivers of Productivity in the Spanish Banking Sector: Recent Evidence Castro, C. and J.E Galán
Journal of Financial Services Research, 55, 115-141. 2019
European Journal of Operational Research 240 (2015) 562–571
Journal of Productivity Analysis, vol.42, 2014
The influence of Risk-Taking on Bank Efficiency: Evidence from Colombia Galán, J. and Sarmiento, M.
Emerging Markets Review 32 (2017) 52–73