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David Marques-Ibanez
David Marques-Ibanez
European Central Bank (DG-Research)
Ingen verifisert e-postadresse - Startside
Tittel
Sitert av
Sitert av
År
Efficiency and risk in European banking
F Fiordelisi, D Marques-Ibanez, P Molyneux
Journal of banking & finance 35 (5), 1315-1326, 2011
8502011
Does monetary policy affect bank risk-taking?
Y Altunbas, L Gambacorta, D Marques-Ibanez
ECB working paper, 2010
6582010
Securitisation and the bank lending channel
Y Altunbas, L Gambacorta, D Marques-Ibanez
European Economic Review 53 (8), 996-1009, 2009
6202009
The bank lending channel: lessons from the crisis
L Gambacorta, D Marques-Ibanez
Economic policy 26 (66), 135-182, 2011
5992011
Mergers and acquisitions and bank performance in Europe
Y Altunbas, DM Ibáñez
537*2004
Mergers and acquisitions and bank performance in Europe: The role of strategic similarities
Y Altunbaş, D Marqués
Journal of economics and business 60 (3), 204-222, 2008
5202008
Bank risk and monetary policy
Y Altunbas, L Gambacorta, D Marques-Ibanez
Journal of Financial Stability 6 (3), 121-129, 2010
4322010
Bank risk during the financial crisis: do business models matter?
Y Altunbas, S Manganelli, D Marques-Ibanez
ECB working paper, 2011
3932011
Who borrows from the lender of last resort?
I Drechsler, T Drechsel, D Marques‐Ibanez, P Schnabl
The Journal of Finance 71 (5), 1933-1974, 2016
2732016
Bank ratings: what determines their quality?
H Hau, S Langfield, D Marques-Ibanez
Economic Policy 28 (74), 289-333, 2013
1522013
Do bank characteristics influence the effect of monetary policy on bank risk?
Y Altunbas, L Gambacorta, D Marques-Ibanez
Economics Letters 117 (1), 220-222, 2012
1322012
Large debt financing: syndicated loans versus corporate bonds
Y Altunbaş, A Kara, D Marques-Ibanez
The European Journal of Finance 16 (5), 437-458, 2010
1242010
Is bank default risk systematic?
F Fiordelisi, D Marques-Ibanez
Journal of Banking & Finance 37 (6), 2000-2010, 2013
1182013
An empirical assessment of the risk-taking channel
Y Altunbas, L Gambacorta, D Marqués-Ibanez
Available at SSRN 1459627, 2009
912009
Realized bank risk during the great recession
Y Altunbas, S Manganelli, D Marques-Ibanez
Journal of Financial Intermediation 32, 29-44, 2017
772017
Securitization, risk-transferring and financial instability: The case of Spain
S Carbó-Valverde, D Marques-Ibanez, F Rodríguez-Fernández
Journal of International Money and Finance 31 (1), 80-101, 2012
632012
Securitization and lending standards: Evidence from the European wholesale loan market
A Kara, D Marques-Ibanez, S Ongena
Journal of Financial Stability 26, 107-127, 2016
592016
Securitization, bank lending and credit quality: the case of Spain
S Carbó-Valverde, D Marqués-Ibáñez, F Rodriguez-Fernandez
ECB working paper, 2011
462011
Bank capital, bank lending, and monetary policy in the euro area
Y Altunbas, G De Bondt, D Marques-Ibanez
Kredit und Kapital, 2004
462004
Modelling loans to non-financial corporations in the euro area
CK Sørensen, DM Ibáñez, C Rossi
Europ. Central Bank, 2009
452009
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Artikler 1–20