Rodríguez-Moreno, María

Staff Economist

Financial Analysis Division

Market Analysis and Intelligence Department

DG Operations, Markets and Payment Systems

Información de contacto

Campos de interés

Systemic Risk, Banking, Financial Derivatives, Credit Risk and Housing, Market Frictions, Asset Pricing

Códigos JEL

G21, G01

Publicaciones

Access to credit and firm survival during a crisis: the case of zero-bank-debt firms With R. Blanco, M. García-Posada and S. Mayordomo

Journal of Financial Intermediation 59 (2024), 101102.

Códigos JEL: JEL classifications: G30, G32, G21.

Risk and control in complex banking groups

M. Rodríguez Moreno with I. Argimón

Journal of Banking and Finance 134 (2022) 106038

Códigos JEL: F21, F23, G21, G32

Bank Capital Requirements, Loan Guarantees and Firm Performance

M. Rodríguez Moreno with A. Moreno, S. Mayordomo and S. Ongena

Journal of Financial Intermediation, 45 (2021) 100825

Códigos JEL: D43, E32, G21, G32

How do European banks cope with macroprudential capital requirements?

M. Rodríguez Moreno with S. Mayordomo

Finance Research Letters, 38 (2021) 101459

Códigos JEL: G21, G28