Research Economist
Financial Stability Department
DG Financial Stability, Regulation and Resolution
Información de contacto
- Alcalá, 48 - 28014 Madrid
- https://enric-martorell.com
- Curriculum Vitae (87 KB)
Campos de interés
Macroeconomics, Finance and Economic Growth
Códigos JEL
E21, E44, G21, O11, O40
Publicaciones
Monetary Policy, Bank Leverage and Systemic Risk-Taking
Kosuke Aoki, Enric Martorell and Kalin Nikolov
Banco de España Working Paper, No 2517, 2025
Climate Transition Risk and the Role of Bank Capital Regulation
Enric Martorell and Salomón García-Villegas
Economic Modelling, 135, June 2024, 106724
Análisis de los riesgos sistémicos cíclicos en España y de su mitigación mediante requerimientos de capital bancario contracíclicos
Ángel Estrada. et al.
Banco de España Ocassional Paper, No 2414, 2024