Antonio
Moreno Ibáñez
Catedrático de Universidad
Publicaciones (48) Publicaciones de Antonio Moreno Ibáñez
2024
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Do corruption perceptions impact the pricing and access of euro area corporations to bond markets?
European Journal of Finance, Vol. 30, Núm. 4, pp. 370-384
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Downturns and changes in the yield slope
Journal of Forecasting, Vol. 43, Núm. 3, pp. 673-701
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Evaluating the yield curve effects of central bank asset purchases under a forward-looking supply factor
European Economic Review, Vol. 165
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Generalizing Determinacy under Monetary and Fiscal Policy Switches: The Case of the Zero Lower Bound
Journal of Money, Credit and Banking
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“Long GFC”? The global financial crisis, health care, and COVID-19 deaths
Economic Inquiry, Vol. 62, Núm. 2, pp. 865-891
2023
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Evaluating central bank asset purchases in a term structure model with a forward-looking supply factor
Documentos de trabajo - Banco de España
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Las nuevas monedas digitales
Nuevas tendencias, Núm. 109, pp. 1-7
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Term premium in a fractionally cointegrated yield curve
Journal of Banking and Finance, Vol. 149
2021
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Bank capital requirements, loan guarantees and firm performance
Journal of Financial Intermediation, Vol. 45
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La economía ante la pandemia del COVID: el papel del estado y las empresas
Nuevas tendencias, Núm. 106, pp. 10-12
2018
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Global factors in the term structure of interest rates
International Journal of Central Banking, Vol. 14, Núm. 2, pp. 301-339
2017
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Inequality strikes back
Nuevas tendencias, Núm. 99, pp. 20-24
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Sovereign tail risk
Journal of International Money and Finance, Vol. 79, pp. 174-188
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When does relationship lending start to pay?
Journal of Financial Intermediation, Vol. 31, pp. 16-29
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“Keeping it personal” or “getting real”?: on the drivers and effectiveness of personal versus real loan guarantees
Documentos de trabajo - Banco de España
2016
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Term structure persistence
Journal of Financial Econometrics, Vol. 14, Núm. 2, pp. 331-352
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The macro-finance environment and asset allocation: A simultaneous equation approach
Finance Research Letters, Vol. 18, pp. 199-204
2015
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Macroeconomic regimes
Journal of Monetary Economics, Vol. 70, pp. 51-71
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Systemic risk and asymmetric responses in the financial industry
Journal of Banking and Finance, Vol. 58, pp. 471-485
2014
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An estimated New-Keynesian model with unemployment as excess supply of labor
Journal of Macroeconomics, Vol. 40, pp. 338-359