REFEREED JOURNALS (by topic)
Bank Supervision
Cuadros-Solas, P. J., Salvador, C., & Suárez, N. (2025). Banking supervisory architecture and sovereign risk. Journal of Financial Stability, 101365.
Corporate, Firm investment, debt, and financial constraints
Fernández de Guevara, J. F., Maudos, J., & Salvador, C. (2021). Effects of the degree of financial constraint and excessive indebtedness on firms’ investment decisions. Journal of International Money and Finance, 110, 102288.
Fernández de Guevara, J. F., Maudos, J., & Salvador, C. (2022). Firms’ investment, indebtedness and financial constraints: Size does matter. Finance Research Letters, 46, 102240.
Fintech and Bigtech Finance
Cuadros-Solas, P. J., Cubillas, E. Salvador, C., Suárez, N. (2024) Digital disruptors at the gate. Does FinTech lending affect bank market power and stability? Journal of International Financial Markets, Institutions & Money, 91, 101964.
Cuadros-Solas, P. J., Cubillas, E. & Salvador, C., (2023). Does alternative digital lending affect bank performance? Cross-country and bank-level evidence. International Review of Financial Analysis (2023), 102873
Bank and sovereign ratings
Cuadros-Solas, P. J., Salvador, C., (2022). Disentangling the sources of sovereign rating adjustments: An examination of changes in rating policies following the GFC. Research in International Business and Finance, 59, 101535.
Cuadros-Solas, P. J., Salvador, C., & Suárez, N. (2021). Am I riskier if I rescue my banks? Beyond the effects of bailouts. Journal of Financial Stability, 56, 100935.
Cuadros-Solas, P. J., & Salvador, C. (2021). Potential spillovers from the banking sector to sovereign credit ratings. Applied Economics Letters, vol. 28, no. 12, 1046-1052.
Salvador, C., Tormo, L., & Ramos-Herrera, M. (2021). Bank rating migrations before and since the onset of the financial crisis. Spanish Journal of Finance and Accounting, 50(3), 302-337.
Salvador, C., de Guevara, J. F., & Pastor, J. M. (2018). The adjustment of bank ratings in the financial crisis: International evidence. The North American Journal of Economics and Finance, 44, 289-313.
Salvador, C. (2017) ‘Effect of signals of bank ratings in stock returns before and during the financial crisis’. The Spanish Review of Financial Economics, 15(1), pp. 1-11.
Salvador, C., Pastor, J. M., y Fernández de Guevara, J. (2014). ‘Impact of the subprime crisis on bank ratings: The effect of the hardening of rating policies and worsening of solvency’. Journal of Financial Stability, 11, 13-31
Education
Salvador C. , Serrano L. y García-Cárceles B. (2012). ‘The influence of the environment and specialization in University rankings'. Regional and Sectoral Economic Studies. Vol.12-13.
WORKING IN PROGRESS
Firm's Market Power, Productivity and Digitalization (with Fernández de Guevara, C. and Maudos, J.)
Book chapters
Cuadros-Solas, P. J., Salvador, C., & Suárez, N. (2023). Crisis interventions and sovereign risk ratings. COVID-19 and European Banking Performance: Resilience, Recovery and Sustainability, 6. Routledge.
Salvador C. (2016). ‘Stock Returns and Bank Ratings in the PIIGS’. In Liquidity Risk, Efficiency and New Bank Business Models. pp. 205-239. Springer International Publishing. ISBN:978-3-319-30818-0.
Salvador C. , Pastor J.M y Fernández de Guevara J. (2013). ‘Banks ratings, financial crisis and size of the entities'. Chapter 7 of Risk and Stability in Financial Markets. Palgrave Macmillan studies in Banking and Financial institutions. ISBN: 978-1-137-00182-5
Salvador C. , Pastor J.M y Fernández de Guevara J. (2011). ‘Are the ratings good indicators of the creditworthiness of the entities that qualify?'. Chapter 6 of Bank Strategy, Governance and Ratings edited by Philip Molyneux. Palgrave Macmillan studies in Banking and Financial institutions. ISBN: 978-0-230-31334-7
Books
Rohlfer S., Salvador C., and Slocum S. (2016) 'People Management In Micro And Small Companies – A Comparative Analysis'. Estudios de la Fundación de Cajas de ahorros. Nº 79. pp. 1-158.
OTHER PUBLICATIONS - POLICY REPORTS
de Grado, C. P., Salvador, C., & Guillén, A. S. (2019). Algunos indicadores de sostenibilidad económica social y medioambiental de València. Investigaciones clave en la transformación del modelo económico valenciano (pp. 35-78). Universitat de València.
Salvador, C. and Fernández de Guevara, J. (2016). Ratings Bancarios y Política Monetaria. Cuadernos económicos de ICE, vol. 92. 2016, pp. 53-79.
Salvador, C. and Fernández de Guevara, J. (2015). Ratings y Financiación empresarial. Papeles de Economía. Número: "Mercados de Crédito". Nº146. pp. 160-178.
Salvador, C. and Fernández de Guevara, J. , Pastor J.M (2012). Rating agencies during the crisis: usefulness of interest and regulation. European Financial Review.