New Keynesian macroeconomics and the term structure G Bekaert, S Cho, A Moreno Journal of Money, Credit and Banking 42 (1), 33-62, 2010 | 470 | 2010 |
Short-term wholesale funding and systemic risk: A global CoVaR approach G López-Espinosa, A Moreno, A Rubia, L Valderrama Journal of Banking & Finance 36 (12), 3150-3162, 2012 | 356 | 2012 |
A small-sample study of the New-Keynesian macro model S Cho, A Moreno Journal of Money, Credit and Banking, 1461-1481, 2006 | 152 | 2006 |
When does relationship lending start to pay? G López-Espinosa, S Mayordomo, A Moreno Journal of Financial Intermediation 31, 16-29, 2017 | 107 | 2017 |
Term structure persistence M Abbritti, LA Gil-Alana, Y Lovcha, A Moreno Jnl of Financial Econometrics 14 (2), 331-352, 2016 | 94 | 2016 |
Macroeconomic regimes L Baele, G Bekaert, S Cho, K Inghelbrecht, A Moreno Journal of Monetary Economics 70, 51-71, 2015 | 88 | 2015 |
Banks’ net interest margin in the 2000s: A macro-accounting international perspective G López-Espinosa, A Moreno, FP de Gracia Journal of International Money and Finance 30 (6), 1214-1233, 2011 | 88 | 2011 |
Uncovering the US term premium: an alternative route LA Gil-Alana, A Moreno Journal of Banking & Finance 36 (4), 1181-1193, 2012 | 85 | 2012 |
Systemic risk and asymmetric responses in the financial industry G López-Espinosa, A Moreno, A Rubia, L Valderrama Journal of Banking & Finance 58, 471-485, 2015 | 83 | 2015 |
Global Factors in the Term Structure of Interest Rates M Abbritti, S Dell’Erba, A Moreno, S Sola International Journal of Central Banking 14 (2), 301-340, 2018 | 67* | 2018 |
The forward method as a solution refinement in rational expectations models S Cho, A Moreno Journal of Economic Dynamics and Control 35 (3), 257-272, 2011 | 63 | 2011 |
Reaching inflation stability A Moreno Journal of Money, Credit and Banking, 801-825, 2004 | 54 | 2004 |
Exploring survey‐based inflation forecasts L Gil‐Alana, A Moreno, F Pérez de Gracia Journal of Forecasting 31 (6), 524-539, 2012 | 35 | 2012 |
A structural estimation and interpretation of the New Keynesian macro model S Cho, A Moreno Available at SSRN 322600, 2002 | 30 | 2002 |
Bank capital requirements, loan guarantees and firm performance S Mayordomo, A Moreno, S Ongena, M Rodriguez-Moreno Journal of Financial Intermediation 45, 100825, 2021 | 27* | 2021 |
An estimated New-Keynesian model with unemployment as excess supply of labor M Casares, A Moreno, J Vázquez Journal of Macroeconomics 40, 338-359, 2014 | 20 | 2014 |
Technology shocks and hours worked: A fractional integration perspective LA Gil-Alana, A Moreno Macroeconomic Dynamics 13 (5), 580-604, 2009 | 20 | 2009 |
Term premium in a fractionally cointegrated yield curve M Abbritti, H Carcel, L Gil-Alana, A Moreno Journal of Banking & Finance 149, 106777, 2023 | 18* | 2023 |
Sovereign Tail Risk G Lopez-Espinosa, L Moreno, A., Rubia, A.R., Valderrama Journal of International Money and Finance 89, 174-188, 2017 | 15 | 2017 |
Fractional integration and structural breaks in US macro dynamics LA Gil-Alana, A Moreno Empirical Economics 43, 427-446, 2012 | 9 | 2012 |