Details about Jose Maria Serena Garralda
Access statistics for papers by Jose Maria Serena Garralda.
Last updated 2024-12-06. Update your information in the RePEc Author Service.
Short-id: pse592
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Working Papers
2024
- Bank supervision and non-performing loan cleansing
Working Papers, Banco de España
- Shadow seniority? Lending relationships and borrowers’ selective default
Working Papers, Banco de España
2022
- International bank credit, nonbank lenders, and access to external financing
Working Papers, Business School - Economics, University of Glasgow View citations (1)
See also Journal Article International bank credit, nonbank lenders, and access to external financing, Economic Inquiry, Western Economic Association International (2022) View citations (1) (2022)
2021
- Big data and machine learning in central banking
BIS Working Papers, Bank for International Settlements View citations (12)
- Dampening the financial accelerator? Direct lenders and monetary policy
BIS Working Papers, Bank for International Settlements View citations (1)
Also in Working Papers, Banco de España (2021) View citations (1)
- Private equity buyouts and firm exports: evidence from UK firms
BIS Working Papers, Bank for International Settlements View citations (3)
- Private equity buyouts, credit constraints, and firm exports
Working Papers, Business School - Economics, University of Glasgow View citations (1)
- Use of big data sources and applications at central banks
IFC Reports, Bank for International Settlements
2020
- Bonds and syndicated loans during the Covid-19 crisis: decoupled again?
BIS Bulletins, Bank for International Settlements View citations (8)
- Central banks and fintech data issues
IFC Reports, Bank for International Settlements
- Covid-19 and corporate sector liquidity
BIS Bulletins, Bank for International Settlements View citations (4)
- Dollar borrowing, firm-characteristics, and FX-hedged funding opportunities
Working Papers, Banco de España View citations (2)
Also in CEPR Discussion Papers, C.E.P.R. Discussion Papers (2020) View citations (2) BIS Working Papers, Bank for International Settlements (2020) View citations (3)
- International bank lending and corporate debt structure
Working Papers, Business School - Economics, University of Glasgow View citations (5)
Also in BIS Working Papers, Bank for International Settlements (2020)
- Regulatory capital, market capital and risk taking in international bank lending
BIS Working Papers, Bank for International Settlements View citations (5)
2019
- Believing in bail-in? Market discipline and the pricing of bail-in bonds
BIS Working Papers, Bank for International Settlements View citations (9)
2018
- Central banks and trade repositories derivatives data
IFC Reports, Bank for International Settlements
- Does exchange rate depreciation have contractionary effects on firm-level investment?
Working Papers, European Stability Mechanism View citations (3)
Also in BIS Working Papers, Bank for International Settlements (2017) View citations (25)
- Firms' credit risk and the onshore transmission of the global financial cycle
BIS Working Papers, Bank for International Settlements View citations (2)
2016
- How firms borrow in international bond markets: securities regulation and market segmentation
Working Papers, Banco de España View citations (6)
2015
- Changes in Funding Patterns by Latin American Banking Systems: How Large? How Risky? - Working Paper 420
Working Papers, Center for Global Development View citations (1)
- Changes in funding patterns by Latin American banking systems:how large? how risky?
Working Papers, Banco de España View citations (1)
- International reserves and gross capital flow dynamics
BIS Working Papers, Bank for International Settlements View citations (4)
Also in Documentos de Discusión FLAR, Fondo Latino Americano de Reservas - FLAR (2014) View citations (3)
See also Journal Article International reserves and gross capital flows dynamics, Journal of International Money and Finance, Elsevier (2016) View citations (50) (2016)
- What Drives Bank-Intermediated Trade Finance? Evidence from Cross-Country Analysis
Staff Working Papers, Bank of Canada 
Also in Working Papers, Banco de España (2015) 
See also Journal Article What Drives Bank-Intermediated Trade Finance? Evidence from Cross-Country Analysis, International Journal of Central Banking, International Journal of Central Banking (2019) View citations (1) (2019)
2014
- Integración financiera y modelos de financiación de los bancos globales
Occasional Papers, Banco de España
- Macroeconomic policy in Brazil: inflation targeting, public debt structure and credit policies
Occasional Papers, Banco de España
2012
- International reserves and gross capital flows. Dynamics during financial stress
Working Papers, Banco de España View citations (17)
Also in Globalization Institute Working Papers, Federal Reserve Bank of Dallas (2012) View citations (9)
2010
- The Impact of the Global Economic and Financial Crisis on Central Eastern and SouthEastern Europe (CESEE) and Latin America
Occasional Papers, Banco de España View citations (48)
2009
- Sovereign external assets and the resilience of global imbalances
Working Papers, Banco de España View citations (5)
2007
- Global financial integration, monetary policy and reserve accumulation. Assessing the limits in emerging economies
Working Papers, Banco de España View citations (10)
Journal Articles
2024
- El sector bancario del área del euro ante los requerimientos MREL: ¿un reto para los bancos medianos?
Revista de Estabilidad Financiera, 2024, (Primavera)
- The euro area banking sector and MREL: a challenge for medium-sized banks?
Financial Stability Review, 2024, (Spring)
2023
- The EURIBOR surge and bank deposit costs: an investigation of interest rate pass-through and deposit portfolio rebalancing
Financial Stability Review, 2023, (Spring) 
Also in Revista de Estabilidad Financiera, 2023, (Primavera) (2023)
2022
- International bank credit, nonbank lenders, and access to external financing
Economic Inquiry, 2022, 60, (3), 1214-1232 View citations (1)
See also Working Paper International bank credit, nonbank lenders, and access to external financing, Working Papers (2022) View citations (1) (2022)
2021
- Dollar borrowing, firm credit risk, and FX-hedged funding opportunities
Journal of Corporate Finance, 2021, 68, (C) View citations (3)
2019
- What Drives Bank-Intermediated Trade Finance? Evidence from Cross-Country Analysis
International Journal of Central Banking, 2019, 15, (3), 253-283 View citations (1)
See also Working Paper What Drives Bank-Intermediated Trade Finance? Evidence from Cross-Country Analysis, Staff Working Papers (2015) (2015)
2018
- How firms borrow in international bond markets
Journal of Financial Regulation and Compliance, 2018, 26, (1), 135-169
2016
- Domestic financial markets and offshore bond financing
BIS Quarterly Review, 2016 View citations (8)
- International reserves and gross capital flows dynamics
Journal of International Money and Finance, 2016, 60, (C), 151-171 View citations (50)
See also Working Paper International reserves and gross capital flow dynamics, BIS Working Papers (2015) View citations (4) (2015)
2013
- Una comparación de las crisis de deuda en América Latina y la zona euro
Boletín, 2013, LIX, (1), 8-17
2012
- El papel de las reservas internacionales en los períodos de inestabilidad financiera
Boletín Económico, 2012, (JUL), 117-126
2011
- Los desequilibrios globales y el reequilibrio de la economía mundial
Boletín Económico, 2011, (MAY), 75-86
2010
- How Did the Global Financial Crisis Affect the CESEE Region and Latin America? – A Comparative Analysis
Focus on European Economic Integration, 2010, (1), 49-66 View citations (4)
- La crisis financiera global en América Latina y Europa del Este. Un análisis comparado
Boletín Económico, 2010, (MAY), 79-92 
Also in Boletín, 2010, LVI, (2), 89-102 (2010)
2009
- Auge y caída del precio de las materias primas. Implicaciones para América Latina
Boletín Económico, 2009, (MAR), 105-121
- Reservas internacionales, fondos de riqueza soberana y la persistencia de los desequilibrios globales
Boletín Económico, 2009, (JAN), 117-130
2008
- Reserves, Sovereign Wealth Funds and the Resilience of Global Imbalances
Economic Notes, 2008, 37, (3), 315-343 View citations (2)
2007
- Una evaluación de los límites a la acumulación de reservas en las economías emergentes
Boletín Económico, 2007, (APR), 131-144
Books
2010
- Contagion and Spillovers: New Insights from the Crisis
SUERF Studies, SUERF - The European Money and Finance Forum View citations (6)
Chapters
2019
- Cross-country bank-firm lending relationships: How can the Legal Entity Identifier help?
A chapter in Are post-crisis statistical initiatives completed?, 2019, vol. 49
2018
- Overview of the IFC Satellite Seminar - The role of data in supporting financial inclusion policy
A chapter in The role of data in supporting financial inclusion policy, 2018, vol. 47
2017
- Data needs and statistics compilation for macroprudential analysis
A chapter in Data needs and statistics compilation for macroprudential analysis, 2017, vol. 46
- Measuring interlinkages between non-financial firms, banks and institutional investors: How securities common identifiers can help?
A chapter in Data needs and Statistics compilation for macroprudential analysis, 2017, vol. 46
2016
- Insights from matched firm-bond level data: market of issuance and credit quality
A chapter in Combining micro and macro data for financial stability analysis, 2016, vol. 41
2008
- Assessing the Sustainability of External Positions in New EU Member States
Chapter 17 in Currency and Competitiveness in Europe, 2008
2006
- Adjustment Costs and Trade Liberalization
Palgrave Macmillan View citations (3)
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