!!Rafael Repullo - Selected Publications
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“Monetary Policy, Macroprudential Policy, and Financial Stability” (with David Martinez-Miera), Annual Review of Economics, 11 (2019), 809-832. [[8]\\
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“Search for Yield” (with David Martinez-Miera), Econometrica, 85 (2017), 351-378. [[76]\\
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“The Procyclical Effects of Bank Capital Regulation,” with Javier Suarez, Review of Financial Studies, 26 (2013), 452-490. [[358]\\
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“Does Competition Reduce the Risk of Bank Failure?,” with D. Martinez-Miera, Review of Financial Studies, 23 (2010), 3638-3664. [[698]\\
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“Capital Requirements, Market Power, and Risk-Taking in Banking,” Journal of Financial Intermediation, 13 (2004), 156-182. [[956]\\
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“Loan Pricing under Basel Capital Requirements,” with Javier Suarez, Journal of Financial Intermediation, 13 (2004), 496-521. [[312]\\
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“Venture Capital Finance: A Security Design Approach,” with J. Suarez, Review of Finance, 8 (2004), 75-108. [[555]\\
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“Entrepreneurial Moral Hazard and Bank Monitoring: A Model of the Credit Channel,” with Javier Suarez, Eurropean Economic Review, 44 (2000), 1931-1950. [[241]\\
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“Nash Implemetation: A Full Characterization” (with J. Moore), Econometrica 58(1990), 1083-1099. [[271]\\
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“Subgame Perfect Implementation,” with J. Moore, Econometrica, 56 (1988), 1191-1220. [[605]\\
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[[Google Scholar citations as of July 2020 in brackets]