Javier Suarez

PhD in Economics, Universidad Carlos III de Madrid, 1994


Personal details

suarez@cemfi.es

Website

CV

Javier Suarez

Research interests

Corporate finance, financial contracts, credit cycles, venture capital, banking theory, banking regulation


Selected publications

  • "Capital Forbearance in the Bank Recovery and Resolution Game", with Natalya Martynova and Enrico Perotti, Journal of Financial Economics, 146 (2022), 884-904.
  • "Bank Capital in the Short and in the Long Run", with Caterina Mendicino, Kalin Nikolov and Dominik Supera, Journal of Monetary Economics, 115 (2020), 64-79.
  • "Liquidity Standards and the Value of an Informed Lender of Last Resort", with Joao Santos, Journal of Financial Economics, 132 (2019), 351-368.
  • "How Excessive Is Banks' Maturity Transformation?", with Anatoli Segura, Review of Financial Studies, 30 (2017), 3538-3580.
  • "The Procyclical Effects of Bank Capital Regulation", with Rafael Repullo, Review of Financial Studies, 26 (2013), 452-490.
  • "Incomplete Wage Posting", with C. Michelacci, Journal of Political Economy, 114 (2006), 1098-1123.
  • "Entrenchment and Severance Pay in Optimal Governance Structures", with A. Almazan, Journal of Finance, 58 (2003), 519-548.
  • "Endogenous Cycles in a Stiglitz-Weiss Economy", with O. Sussman, Journal of Economic Theory, 76 (1997), 47-71.
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