Publications (20) MIGUEL ANGEL DURAN MUÑOZ publications

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2023

  1. Bank business models, size, and profitability

    Finance Research Letters, Vol. 53

  2. Business model contributions to bank profit performance: A machine learning approach

    Research in International Business and Finance, Vol. 64

2022

  1. The risk–return relation in the corporate loan market

    North American Journal of Economics and Finance, Vol. 60

2018

  1. Are charter value and supervision aligned? A segmentation analysis

    Journal of Financial Stability, Vol. 37, pp. 60-73

2017

  1. Pricing and usage: An empirical analysis of lines of credit

    Journal of International Financial Markets, Institutions and Money, Vol. 50, pp. 219-234

2016

  1. Agency problems in banking: Types of and incentives for risk shifting

    Contributions to Economics, Vol. 214, pp. 53-66

2015

  1. Agency problems in banking: Types of and incentives for risk shifting

    Financial Crisis, Bank Behaviour and Credit Crunch (Springer International Publishing), pp. 53-66

  2. Moral hazard and the financial structure of banks

    Journal of International Financial Markets, Institutions and Money, Vol. 34, pp. 28-40

2014

  1. A moral hazard approach to wage discounts under informal hiring

    Scottish Journal of Political Economy, Vol. 61, Núm. 2, pp. 119-128

  2. Risk shifting in the US banking system: An empirical analysis

    Journal of Financial Stability, Vol. 13, pp. 64-74

  3. The rise and spread of favoritism practices

    B.E. Journal of Theoretical Economics, Vol. 14, Núm. 1, pp. 397-414

2013

  1. Off-balance-sheet activity under adverse selection: The European experience

    Journal of Economic Behavior and Organization, Vol. 85, Núm. 1, pp. 176-190

2012

  1. Episodios históricos de burbujas especulativas

    eXtoikos, Núm. 5, pp. 65-73

  2. Favouring friends

    Bulletin of Economic Research, Vol. 64, Núm. 2, pp. 172-178

  3. How Do Risky Banks Finance Their Assets?

    International Advances in Economic Research, Vol. 18, Núm. 4, pp. 451-452

2008

  1. The coordination problem: Expectations and inaction

    Journal of Post Keynesian Economics, Vol. 30, Núm. 4, pp. 583-600

2007

  1. Mathematical needs and economic interpretations

    Contributions to Political Economy, Vol. 26, Núm. 1, pp. 1-16

  2. Norm-based behavior and corporate malpractice

    Journal of Economic Issues, Vol. 41, Núm. 1, pp. 221-241

2004

  1. An example of untranslatability: The conceptual structures of Marshall's and Keynes' conceptions of investment

    European Journal of the History of Economic Thought, Vol. 11, Núm. 1, pp. 79-106