David Martinez-Miera

Universidad Carlos III de Madrid - Department of Business Administration

Assistant Professor

Calle Madrid 126

Getafe, Madrid, Madrid 28903

Spain

Center for Economic Policy Research

Research Affiliate

London

United Kingdom

SCHOLARLY PAPERS

13

DOWNLOADS

903

SSRN CITATIONS
Rank 4,299

SSRN RANKINGS

Top 4,299

in Total Papers Citations

89

CROSSREF CITATIONS

225

Scholarly Papers (13)

1.
Downloads 205 (204,710)
Citation 1

Markets, Banks, and Shadow Banks

ECB Working Paper No. 2234 (2019); ISBN 978-92-899-3496-1
Number of pages: 46 Posted: 05 Feb 2019
David Martinez-Miera and Rafael Repullo
Universidad Carlos III de Madrid - Department of Business Administration and Centre for Monetary and Financial Studies (CEMFI)
Downloads 205 (204,536)
Citation 2

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bank regulation, bank supervision, capital requirements, credit screening, credit spreads, loan defaults, optimal regulation, market finance, shadow banks

Markets, Banks, and Shadow Banks

CEPR Discussion Paper No. DP13248
Number of pages: 44 Posted: 22 Oct 2018
David Martinez-Miera and Rafael Repullo
Universidad Carlos III de Madrid - Department of Business Administration and Centre for Monetary and Financial Studies (CEMFI)
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Bank Regulation, bank supervision, Capital requirements, credit screening, credit spreads, loan defaults, market finance, optimal regulation, Shadow banks

2.
Downloads 188 (221,152)
Citation 123

Does Competition Reduce the Risk of Bank Failure?

Number of pages: 32 Posted: 09 Feb 2008
David Martinez-Miera
Universidad Carlos III de Madrid - Department of Business Administration
Downloads 181 (228,606)
Citation 17

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Bank competition, Bank failure, Credit risk, net interest income, Moral hazard, Risk-shifting, Franchise values

Does Competition Reduce the Risk of Bank Failure?

CEPR Discussion Paper No. DP6669
Number of pages: 34 Posted: 09 Jun 2008
David Martinez-Miera and Rafael Repullo
Universidad Carlos III de Madrid - Department of Business Administration and Centre for Monetary and Financial Studies (CEMFI)
Downloads 7 (839,735)
Citation 23
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Bank competition, Bank failure, Credit risk, Default correlation, Franchise values, Loan defaults, Loan rates, Moral hazard, Net interest income, Risk-shifting

3.

The Creditworthiness of the Poor: A Model of the Grameen Bank

Federal Reserve Bank of Kansas City Working Paper No. 10-11
Number of pages: 47 Posted: 03 May 2010 Last Revised: 06 Mar 2013
Michal K. Kowalik and David Martinez-Miera
Federal Reserve Banks - Federal Reserve Bank of Boston and Universidad Carlos III de Madrid - Department of Business Administration
Downloads 135 (290,426)
Citation 2

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Bank lending, deposits, microcredit, probability of default

Public Guarantees, Relationship Lending and Bank Credit: Evidence from the COVID-19 Crisis

Number of pages: 77 Posted: 15 Mar 2022
Gabriel Jiménez, Luc Laeven, David Martinez-Miera and José-Luis Peydró
Banco de España, European Central Bank (ECB), Universidad Carlos III de Madrid - Department of Business Administration and Imperial College London
Downloads 133 (294,811)

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Public guarantees, bank lending, COVID-19, bank lending relationships, public and public risk substitution, bank competition

5.

Impact of the Dividend Distribution Restriction on the Flow of Credit to Non-Financial Corporations in Spain

Banco de Espana Article 07/21
Number of pages: 17 Posted: 09 Apr 2021 Last Revised: 29 Apr 2021
David Martinez-Miera and Raquel Vegas Sánchez
Universidad Carlos III de Madrid - Department of Business Administration and Banco de España
Downloads 66 (456,625)

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dividends, credit, COVID-19

Monetary Policy, Macroprudential Policy, and Financial Stability

Number of pages: 42 Posted: 26 Jul 2019
David Martinez-Miera and Rafael Repullo
Universidad Carlos III de Madrid - Department of Business Administration and Centre for Monetary and Financial Studies (CEMFI)
Downloads 59 (489,834)

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bank monitoring, capital requirements, financial stability, intermediation margin, macroprudential policy, monetary policy

Monetary Policy, Macroprudential Policy, and Financial Stability

CEPR Discussion Paper No. DP13530
Number of pages: 44 Posted: 19 Feb 2019
David Martinez-Miera and Rafael Repullo
Universidad Carlos III de Madrid - Department of Business Administration and Centre for Monetary and Financial Studies (CEMFI)
Downloads 1 (914,453)
Citation 2
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Bank monitoring, Capital requirements, Financial Stability, intermediation margin, macroprudential policy, monetary policy

Monetary Policy, Macroprudential Policy, and Financial Stability

Annual Review of Economics, Vol. 11, pp. 809-832, 2019
Posted: 04 Sep 2019
David Martinez-Miera and Rafael Repullo
Universidad Carlos III de Madrid - Department of Business Administration and Centre for Monetary and Financial Studies (CEMFI)

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Who Truly Bears (Bank) Taxes? Evidence from Only Shifting Statutory Incidence

Banco de Espana Working Paper No. 2040
Number of pages: 62 Posted: 29 Dec 2020
Gabriel Jiménez, David Martinez-Miera and José-Luis Peydró
Banco de España, Universidad Carlos III de Madrid - Department of Business Administration and Imperial College London
Downloads 37 (595,902)
Citation 4

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taxes, incidence, banks, inequality, risk-taking, mortgages

Who Truly Bears (Bank) Taxes? Evidence from Only Shifting Statutory Incidence

LawFin Working Paper No. 12
Number of pages: 57 Posted: 15 Dec 2020
David Martinez-Miera, Gabriel Jiménez and José-Luis Peydró
Universidad Carlos III de Madrid - Department of Business Administration, Banco de España and Imperial College London
Downloads 14 (769,661)

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taxes, incidence, banks, inequality, risk-taking, mortgages

Who Truly Bears (Bank) Taxes? Evidence from Only Shifting Statutory Incidence

CEPR Discussion Paper No. DP15519
Number of pages: 59 Posted: 23 Dec 2020
Gabriel Jiménez, David Martinez-Miera and José-Luis Peydró
Banco de España, Universidad Carlos III de Madrid - Department of Business Administration and Imperial College London
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8.

Consumer Bankruptcy and Soft Information

Bank of Canada Working Paper No. 2012-18
Number of pages: 40 Posted: 15 Mar 2012 Last Revised: 08 Nov 2013
Jason Allen, H. Evren Damar and David Martinez-Miera
Government of Canada - Bank of Canada, Hobart and William Smith Colleges and Universidad Carlos III de Madrid - Department of Business Administration
Downloads 42 (556,865)

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Consumer bankruptcy, financial institutions

9.

Sectorial Holdings and Stock Prices: The Household-bank Nexus

Banco de Espana Working Paper No. 2130
Number of pages: 58 Posted: 10 Sep 2021
Matias Lamas and David Martinez-Miera
Banco de España and Universidad Carlos III de Madrid - Department of Business Administration
Downloads 15 (734,158)

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household ownership, stock prices, equity issuance, banks, non-financial corporations, liquidity provision, informational asymmetries

10.

A Macroeconomic Model of Endogenous Systemic Risk Taking

CEPR Discussion Paper No. DP9134
Number of pages: 54 Posted: 28 Sep 2012
David Martinez-Miera and Javier Suarez
Universidad Carlos III de Madrid - Department of Business Administration and Centre for Monetary and Financial Studies (CEMFI)
Downloads 7 (807,996)
Citation 5
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Capital requirements, Credit cycles, Financial crises, Macroprudential policies, Risk shifting, Systemic risk

11.

Search for Yield

CEPR Discussion Paper No. DP10830
Number of pages: 47 Posted: 21 Sep 2015
David Martinez-Miera and Rafael Repullo
Universidad Carlos III de Madrid - Department of Business Administration and Centre for Monetary and Financial Studies (CEMFI)
Downloads 1 (875,349)
Citation 31
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bank monitoring, banking crises, boom and bust cycles, credit spreads, financial stability, real interest rates, savings glut, shadow banks

12.

Bank Runs, Bank Competition and Opacity

CEPR Discussion Paper No. DP16207
Number of pages: 54 Posted: 14 Jul 2021
Toni Ahnert and David Martinez-Miera
European Central Bank, Financial Research Division and Universidad Carlos III de Madrid - Department of Business Administration
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13.

Interest Rates, Market Power, and Financial Stability

CEPR Discussion Paper No. DP15063
Number of pages: 48 Posted: 28 Jul 2020 Last Revised: 16 Aug 2020
David Martinez-Miera and Rafael Repullo
Universidad Carlos III de Madrid - Department of Business Administration and Centre for Monetary and Financial Studies (CEMFI)
Downloads 0 (892,524)
Citation 1
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Bank monitoring, bank risk-taking, Imperfect Competition, intermediation margins, monetary policy