VoxEU Column Quantifying the gains (or losses) from regulating banks’ maturity risk Javier Suarez Anatoli Segura 5 Oct 2016 Financial Regulation and Banking
Discussion paper DP11111 How Excessive Is Banks' Maturity Transformation? Javier Suarez Anatoli Segura 14 Feb 2016 Financial Economics G01 G21 G28
Discussion paper DP10316 Capital Regulation in a Macroeconomic Model with Three Layers of Default Javier Suarez Kalin Nikolov Caterina Mendicino Livio Stracca Alexandros Vardoulakis Stéphane Moyen 21 Dec 2014 Financial Economics International Macroeconomics E3 E44 G01 G21
Discussion paper DP9134 A Macroeconomic Model of Endogenous Systemic Risk Taking Javier Suarez David Martinez-Miera 16 Sep 2012 Financial Economics International Macroeconomics E44 G21 G28
Discussion paper DP8897 The Procyclical Effects of Bank Capital Regulation Rafael Repullo Javier Suarez 12 Mar 2012 Financial Economics E44 G21 G28
VoxEU Column A three-pillar solution to the Eurozone crisis Javier Suarez 15 Aug 2011 EU policies Europe's nations and regions Global crisis
Discussion paper DP8398 Interest Rates and Credit Risk Javier Suarez Carlos González-Aguado 20 May 2011 Financial Economics E52 G32 G33
Discussion paper DP8324 Liquidity shocks, roll-over risk and debt maturity Javier Suarez Anatoli Segura 3 Apr 2011 Financial Economics G01 G21 G32
VoxEU Column The simple analytics of systemic liquidity risk regulation Javier Suarez Enrico Perotti 16 Mar 2011 International Finance Microeconomic regulation
Discussion paper DP8271 A Pigovian Approach to Liquidity Regulation Enrico Perotti Javier Suarez 28 Feb 2011 Financial Economics G21 G28
VoxEU Column Money market freezes and central banks Javier Suarez Max Bruche 7 Jan 2011 Global crisis Monetary Policy
Discussion paper DP7909 The Spanish Crisis: Background and Policy Challenges Javier Suarez 1 Jul 2010 Financial Economics E66 G20 O52