Staff Economist
Financial Analysis Division
Market Analysis and Intelligence Department
DG Operations, Markets and Payment Systems
Información de contacto
- Calle Alcálá 48, 28014 Madrid, Spain
- Formulario de contacto
- Curriculum Vitae (196 KB)
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.
Bank Regulatory Capital Arbitrage: Evidence from Housing Overappraisals
with S. Mayordomo and O. Rachedi
Management Science, 70 (2023), 2255–2271
Low Interest Rates and Banks’ Interest Margins: Does Belonging to a Banking Group Matter?
with I. Argimón, J. M. Danton, J. de Haan and J. Rodríguez-Martín
Journal of Banking and Finance, 154 (2023) 106966
Risk and control in complex banking groups
M. Rodríguez Moreno with I. Argimón Journal of Banking and Finance 134 (2022) 106038
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
How do European banks cope with macroprudential capital requirements?
M. Rodríguez Moreno with S. Mayordomo Finance Research Letters, 38 (2021) 101459
Did the bank capital relief induced by the Supporting Factor enhance SME lending?
María Rodríguez Moreno and Sergio Mayordomo
Journal of Financial Intermediation 36, pp. 45-57
Dealing with Dealers: Sovereign CDS Comovements
María Rodríguez Moreno, M. Antón and S. Mayordomo (2018)
Journal of Banking and Finance 90, pp. 96-112
Violating the law of one Price: The role of non-conventional monetary policy
María Rodríguez-Moreno and S. Corradin (2016-07)
ECB Working Paper #1927
Fragmentation in the European Interbank Market: Measures, determinants, and policy solutions
María Rodríguez-Moreno, S. Mayordomo, M. Abascal and T. Alonso (2015-02)
Journal of Financial Stability 16, pp. 1-15
Derivatives holdings and systemic risk in the U.S. banking sector
María Rodríguez-Moreno, S. Mayordomo and J. I. Peña (2014-08)
Journal of Banking and Finance 45, pp. 84-104