Browsing All of EconStor by Author Suárez, Javier
Showing results 1 to 10 of 10
Year of Publication | Title | Author(s) |
2017 | Assessing the cyclical implications of IFRS 9 - a recursive model | Abad, Jorge; Suárez, Javier |
2019 | Bank capital forbearance | Martynova, Natalya; Perotti, Enrico C.; Suárez, Javier |
2019 | Bank capital in the short and in the long run | Mendicino, Caterina; Nikolov, Kalin; Suárez, Javier; Supera, Dominik |
2019 | Optimally solving banks' legacy problems | Segura, Anatoli; Suárez, Javier |
2020 | Bank capital forbearance and serial gambling | Martynova, Natalya; Perotti, Enrico C.; Suárez, Javier |
2020 | Twin default crises | Mendicino, Caterina; Nikolov, Kalin; Rubio-Ramírez, Juan Francisco; Suárez, Javier; Supera, Dominik |
2021 | Growth-at-risk and macroprudential policy design | Suárez, Javier |
2021 | On the stance of macroprudential policy | Cecchetti, Stephen G.; Suárez, Javier |
2023 | Corporate credit and leverage in the EU: Recent evolution, main drivers and financial stability implications | Beck, Thorsten; Peltonen, Tuomo; Perotti, Enrico C.; Sánchez Serrano, Antonio; Suárez, Javier |
2024 | Addressing banks' vulnerability to deposit runs: Revisiting the facts, arguments and policy options | Beck, Thorsten; Ioannidou, Vasso; Perotti, Enrico; Sánchez Serrano, Antonio; Suárez, Javier; Vives, Xavier |