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Margarita Samartin
Margarita Samartin
Verified email at emp.uc3m.es
Title
Cited by
Cited by
Year
Financial service firms’ entry‐mode choice and cultural diversity: Spanish companies in Latin America
M José Álavarez‐Gil, C Cardone‐Riportella, N Lado‐Cousté, ...
International Journal of Bank Marketing 21 (3), 109-121, 2003
71*2003
Information acquisition and financial contagion
A Hasman, M Samartín
Journal of Banking & Finance 32 (10), 2136-2147, 2008
662008
Should bank runs be prevented?
M Samartı́n
Journal of banking & finance 27 (5), 977-1000, 2003
512003
Do banking relationships improve credit conditions for Spanish SMEs
C Cardone, MJ Casasola, M Samartín
Business Economics Working Papers, Universidad Carlos III, Departamento de …, 2005
492005
Banking crises and government intervention
JH García-Palacios, A Hasman, M Samartín
Journal of Financial Stability 15, 32-42, 2014
342014
Algunos temas relevantes en la teoría bancaria
M Samartín
222004
Why do banks promise to pay par on demand?
GP Dwyer Jr, M Samartín
Journal of Financial Stability 5 (2), 147-169, 2009
192009
Suspension of convertibility versus deposit insurance: A welfare comparison
M Samartín
Review of Finance 6 (2), 223-244, 2002
152002
Government finances and bank bailouts: Evidence from European stock markets
M Cabrera, GP Dwyer, M Samartín-Saénz
Journal of Empirical Finance 39, 169-179, 2016
122016
Financial intermediation in an overlapping generations model with transaction costs
A Hasman, M Samartín, J van Bommel
Journal of Economic Dynamics and Control 45, 111-125, 2014
112014
Financial contagion and depositor monitoring
A Hasman, M Samartín, J Van Bommel
Journal of Banking & Finance 37 (8), 3076-3084, 2013
112013
Financial intermediaries and transaction costs
A Hasman, M Samartín Sáenz, J van Bommel
Available at SSRN 1343974, 2009
112009
Capital and liquidity in a dynamic model of banking
A Hasman, M Samartín
Economic Modelling 64, 172-177, 2017
102017
On the optimality of bank runs: comment on Allen and Gale
M Samartín
The Geneva Papers on Risk and Insurance Theory 28, 33-57, 2003
82003
Evolución de la regulación bancaria en el siglo XX en Estados Unidos y Europa Occidental
M Samartín
Información Comercial Española, ICE: Revista de economía, 41-54, 1997
81997
Banks increase welfare
M Samartín
Financial Markets, Institutions & Instruments 10 (5), 203-233, 2001
72001
Was the Argentine corralito an efficient measure?: A note
M Samartín, C Cardone, R Bustamante
International Review of Economics & Finance 16 (3), 444-453, 2007
62007
Surety bonds and moral hazard in banking
GP Dwyer, A Hasman, M Samartín
Journal of Financial Stability 62, 101069, 2022
42022
La participación bancaria en estructuras con varios grandes accionistas
MJ Casasola, M Samartín, JA Tribo Gine
42002
The effects of the ECB’s unconventional monetary policies from 2011 to 2018 on banking assets
GP Dwyer, B Gilevska, MJ Nieto, M Samartín
Journal of International Financial Markets, Institutions and Money 87, 101800, 2023
22023
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Articles 1–20