Financial integration, contagion and policy implications (with Margarita Samartín Sáenz). International Review of Economics & Finance (2025).
Competition, coinsurance and moral hazard in banking (with Margarita Samartín Sáenz). Journal of Banking and Finance (2024).
Government intervention, linkages and financial fragility (with Margarita Samartín Sáenz). Economic Modelling (September 2023). Vol. 126.
Surety bonds and moral hazard in banking (with Margarita Samartín Sáenz and Gerald P. Dwyer). Journal of Financial Stability (October 2022). Vol. 62.
Leaving the darkness: The emergence of shadow banks (with Margarita Samartín Sáenz). Journal of Financial Stability (August 2022). Vol. 61.
Does the financial market compensate investors for operational Losses? Operations Research Letters (2021). Vol. 49, 102 - 105.
Capital and Liquidity in a Dynamic Model of Banking (with Margarita Samartín Sáenz). Economic Modelling (2017), Vol. 64, 172-177.
Banking Crises and Government Intervention (with Margarita Samartín Sáenz and Jaime García). Journal of Financial Stability (2014), Vol. 15, 32–42.
Financial Intermediation in an Overlapping Generations Model with Transaction Costs (with Margarita Samartín Sáenz and Jos van Bommel). Journal of Economic Dynamics & Control (2014), Vol. 45, 111 - 125.
Financial Contagion and Depositor Monitoring (with Margarita Samartín Sáenz and Jos van Bommel). Journal of Banking and Finance (2013), Vol. 37, (8), 3076 - 3084.
A Critical Review of Contagion Risk in Banking. Journal of Economic Surveys (2013), Vol. 27, (5), 978 - 995.
Government, Taxes and Banking Crises (with Angel López and Margarita Samartín Sáenz), Journal of Banking and Finance (2011), Vol. 35, (10), 2761-2770
Information Acquisition and Financial Contagion (with Margarita Samartín Sáenz), Journal of Banking and Finance (2008), Vol. 32 (10), 2136 - 2147
Risk Premium: Insights over the Threshold (with Jose L. Barros Fernandes and J. Ignacio Peña S. de Rivera), Applied Financial Economics (2008), Vol. 18 (1), 41 – 59