Mansilla-Fernández, J.M., & Milgram-Baleix, J. (2023): "Working Capital Management, Financial Constraints and Exports: Evidence from European and US Manufacturers". Empirical Economics 64: 1769-1810. DOI: https://doi.org/10.1007/s00181-022-02295-5
Abinzano, I., Corredor, P. & Mansilla-Fernández, J.M. (2021): "Sovereign Debt Holdings and Banks' Credit Risk: Evidence from the Eurozone". Finance Research Letters, 102600. DOI: https://doi.org/10.1016/j.frl.2021.102600
Chiesa, G., & Mansilla-Fernández, J.M. (2021): "The Dynamic Effects of Non-Performing Loans on Banks’ Cost of Capital and Lending Supply in the Eurozone". Empirica 48: 397-427. DOI: https://doi.org/10.1007/s10663-020-09475-5
Mansilla-Fernández, J.M. (2020): "Non-Performing Loans, Financial Stability, and Banking Competition: Evidence for Listed and Non-Listed Eurozone Banks". Hacienda Pública Española / Review of Public Economics, 1/2020: 29-52. DOI: https://doi.org/10.7866/hpe-rpe.20.1.2
Bakaikoa-Pedrosa, A. & Mansilla-Fernández, J.M. (2020): "The Effects of the ECB’s Quantitative Easing on Lending, Deposits, and Financial Stability". Estudios de Economía Aplicada, 38 (1). DOI: http://dx.doi.org/10.25115/eae.v38i1.2
Chiesa, G., & Mansilla-Fernández, J.M. (2019): "Disentangling the Transmission Channel NPLs-Cost of Capital-Lending Supply". Applied Economics Letters 26 (16): 1333-1338. Doi: https://doi.org/10.1080/13504851.2018.1558335
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2017): “Monetary policy, implicit interest rate, and relative net trade credit”. Revista de Economía Aplicada XXV (73): 21-54. Available at: http://www.redalyc.org/articulo.oa?id=96950904002
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2017): “The effects of bank market power in short-term and long-term firm credit availability and investment”. Spanish Journal of Finance and Accounting 46 (1): 1-27. Doi: http://dx.doi.org/10.1080/02102412.2016.1242239
Barba Navaretti, G., Calzolari, G., Mansilla-Fernández, J.M., & Pozzolo, A.F. (2020): "Doom Loop or Incomplete Union? Sovereign and Banking Risk" in Danny Busch and Guido Ferrarini (eds.) European Banking Union, 2nd ed., forthcoming, Oxford University Press.
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2013): "Monetary policy and trade credit: Evidence for Spain" in Fernández de Guevara, J., and Pastor, J. (eds.) Bank Behavior in Modern Banking, pp. 68-82. Palgrave Macmillan, Basingstoke, United Kingdom.
Agnany Gambacorta, Betty, & Mansilla-Fernández, J.M. (2013): Apuntes de Macroeconomía. Copicentro Editorial, Granada, España. ISBN: 978-84-1581-11-5. DL: GR-442 / 2013
Mansilla Fernández, J.M. (2022): “Numbers”. European Economy-Banks, Regulation, and the Real Sector 2022 (Open Banking): 21-24.
Mansilla Fernández, J.M. (2022): “Institutions”. European Economy-Banks, Regulation, and the Real Sector 2022 (Open Banking): 25-33.
Mansilla Fernández, J.M. (2022): “A Bird Eye (Re)view of Key Readings”. European Economy- Banks, Regulation, and the Real Sector 2022 (Open Banking): 35-42.
Barrenechea-Méndez, M.A., & Mansilla-Fernández, J.M. (2021): "Método de compensación, discriminación y autoselección". Papeles de Economía Española 167 (Marzo):132-143. Available at: https://www.funcas.es/revista/la-empresa-espanola-entre-la-eficiencia-y-la-desigualdad-organizacion-estrategias-y-mercados/
Mansilla Fernández, J.M. (2021): “Numbers”. European Economy-Banks, Regulation, and the Real Sector 2021.1 (Banking and Covid): 23-34.
Mansilla Fernández, J.M. (2021): “Institutions”. European Economy-Banks, Regulation, and the Real Sector 2021.1 (Banking and Covid): 35-50.
Mansilla Fernández, J.M. (2021): “A Bird Eye (Re)view of Key Readings”. European Economy- Banks, Regulation, and the Real Sector 2021.1 (Banking and Covid): 51-60.
Mansilla Fernández, J.M. (2017): “Numbers”. European Economy-Banks, Regulation, and the Real Sector 2017.2 (FinTech and Banking: Friends or Foes?): 31-39.
Mansilla Fernández, J.M. (2017): “Institutions”. European Economy-Banks, Regulation, and the Real Sector 2017.2 (FinTech and Banking: Friends or Foes?): 41-50.
Mansilla Fernández, J.M. (2017): “A Bird Eye (Re)view of Key Readings”. European Economy- Banks, Regulation, and the Real Sector 2017.2 (FinTech and Banking: Friends or Foes?): 51-60.
Mansilla Fernández, J.M. (2017): “Numbers”. European Economy-Banks, Regulation, and the Real Sector 2017.1 (Non-Performing Loans): 31-38.
Mansilla Fernández, J.M. (2017): “Institutions”. European Economy-Banks, Regulation, and the Real Sector 2017.1 (Non-Performing Loans): 39-46.
Mansilla Fernández, J.M. (2017): “A Bird Eye (Re)view of Key Readings”. European Economy- Banks, Regulation, and the Real Sector 2017.1 (Non-Performing Loans): 47-56.
Mansilla Fernández, J.M. (2016): “Numbers”. European Economy-Banks, Regulation, and the Real Sector 2016.2 (Bank Resolution and the Mutualisation of Risk): 33-37.
Mansilla Fernández, J.M. (2016): “Institutions”. European Economy-Banks, Regulation, and the Real Sector 2016.2 (Bank Resolution and the Mutualisation of Risk): 39-45.
Mansilla Fernández, J.M. (2016): “A Bird Eye (Re)view of Key Readings”. European Economy- Banks, Regulation, and the Real Sector 2016.2 (Bank Resolution and the Mutualisation of Risk): 47-55.
Mansilla Fernández, J.M. (2016): “Numbers”. European Economy-Banks, Regulation, and the Real Sector 2016.1 (Sovereign and Banking Risks: What Policies?): 29-34.
Mansilla Fernández, J.M. (2016): “Institutions”. European Economy-Banks, Regulation, and the Real Sector 2016.1 (Sovereign and Banking Risks: What Policies?): 35-39.
Mansilla Fernández, J.M. (2016): “A Bird Eye (Re)view of Key Readings”. European Economy- Banks, Regulation, and the Real Sector 2016.1 (Sovereign and Banking Risks: What Policies?): 41-48.
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2012): “El sector bancario y el apalancamiento financiero regional en España". Cuadernos de Información Económica 226: 145-154.
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2011): “El balance financiero regional: un desapalancamiento progresivo”. Cuadernos de Información Económica 220: 161-170.
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2010): “Las cajas de ahorros e inversión a largo plazo". Cuadernos de Información Económica 219: 111-127.
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2010): “El futuro de la capitalización de las cajas de ahorros". Cuadernos de Información Económica 216: 71-80.
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2010): “El balance financiero de las regiones españolas: La hora del desapalancamiento". Cuadernos de Información Económica 214: 147-156.
Carbó Valverde, S., Mansilla Fernández, J.M., & Maqui López, E. (2009): “El ahorro financiero de los hogares españoles: Perspectivas tras el segundo año de crisis". Cuadernos de Información Económica 212: 115-122.
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2009): “Asimetrías en las medidas de apoyo al sector bancario adoptadas por los países de la UE”. Cuadernos de Información Económica 210: 81-89.
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2009): “Los sectores bancarios regionales ante la crisis financiera”. Cuadernos de Información Económica 208: 167-176.
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2009): “La Reserva Federal y los nuevos sistemas de generación de liquidez”. Perspectivas del Sistema Financiero 95: 73-83.
Carbó-Valverde, S., Mansilla-Fernández, J.M., & Rodríguez-Fernández, F. (2008): “Los efectos de la crisis crediticia en el sistema financiero español”. Cuadernos de Información Económica 202: 113-120.