David Martinez Miera is an Associate Professor of Finance in the Business Department at Carlos III University and a CEPR research affiliate. He is also an External Consultant for the Bank of Spain. He holds a PhD in Economics from the Centro de Estudios Monetarios y Financieros (CEMFI) and UIMP, an MSc in Economics and Finance from CEMFI and a BSc in Business Administration from the University of La Rioja. His research and teaching activities focus mainly on corporate finance, in particular on topics related to banking, especially issues related to banking regulation and the macroeconomy. He has published in journals such as Econometrica, the Review of Financial Studies, the Review of Finance or the Journal of Public Economics..
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Political polarisation drives talent away: Evidence from Spain’s health sector
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Interest rates, market power, and financial stability
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Monetary policy, macroprudential policy, and financial stability
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Search for yield
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