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Publications of Rafael Repullo

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Discussion Papers

Moral Hazard and Debt Maturity

We present a model of the maturity of a bank’s uninsured debt. The bank borrows funds and chooses afterwards the riskiness of its assets. This moral...

June 2014
DP 13
Gur Huberman
Rafael Repullo

Discussion Papers

Cyclical Adjustment of Capital Requirements: A Simple Framework

We present a model of an economy with heterogeneous banks that may be funded with uninsured deposits and equity capital. Capital serves to ameliorate...

September 2013
DP 3
Rafael Repullo

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Public trust in scientists and vaccines likely to be damaged ...

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Financial cycles, risk, macroeconomic causes and consequence ...

Rebooting UK Financial Regulation for a Post-Brexit World

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Real-time Price Discovery via Verbal Communication: Method a ...

Bankruptcy and the COVID-19 Crisis

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Revenge of the experts: Will COVID-19 renew or diminish publ ...

Options-based systemic risk, financial distress, and macroec ...

Vaccine challenges

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