Miguel A. Duran ►
Publications (Orcid:
0000-0002-2004-5586 ►)
— “Bank Business
Models, Size, and Profitability”, Finance
Research Letters, 2023, 53 (joint with F. Bolívar and A.
Lozano-Vivas). (►)
— “Business
Model Contributions to Bank Profit Performance: A Machine Learning Approach,” Research in International Business and
Finance, 2023, 64 (joint with F. Bolívar and A. Lozano-Vivas). (►)
— “The
Risk–Return Relation in
the Corporate Loan Market,” North
American Journal of Economics and Finance, 2022, 60,
1–24. (►)
— “Are
Charter Value and Supervision Aligned? A Segmentation Analysis,” Journal of Financial Stability, 2018, 37,
60–73 (joint with J. Aparicio, A. Lozano-Vivas and J. T. Pastor). (►)
— “Pricing
and Usage: An Empirical Analysis of Lines of Credit,” Journal of International Financial Markets, Institutions & Money,
2017, 50, 219–234. (►)
— “Agency
Problems in Banking: Types of and Incentives for Risk Shifting.” In R. Malavasi and S. Rossi (eds.), Financial Crisis, Bank
Behaviour and Credit Crunch, Springer, 2016, pp. 53–66
(joint with A. Lozano-Vivas). (►)
— “Moral Hazard and the Financial Structure of
Banks,” Journal of International
Financial Markets, Institutions & Money, 2015, 34, 28–40
(joint with A. Lozano-Vivas). (►)
— “Risk
Shifting in the US Banking System: An Empirical Analysis,” Journal of Financial Stability, 2014, 13,
64–74 (joint with A. Lozano-Vivas). (►)
— “The
Rise and Spread of Favoritism Practices,” The B.E. Journal of Theoretical Economics,
2014, 1, 397–414
(joint with A. J. Morales). (►)
— “A
Moral Hazard Approach to Wage Discounts under Informal Hiring,” Scottish Journal of Political Economy,
2014, 61, 119–128
(joint with A. J. Morales). (►)
— “Off-Balance
Sheet Activity under Adverse Selection: The European Experience,” Journal of Economic Behavior
& Organization, 2013, 85, 176–190
(joint with A. Lozano-Vivas). (►)
— “How
Do Risky Banks Finance Their Assets?,” International Advances in Economic Research,
2012, 18, 451–452 (joint with A. Lozano-Vivas). (►)
— “Favouring
Friends,” Bulletin of Economic Research,
2012, 64, 172–178
(joint with P. Brañas-Garza and
M. Paz Espinosa). (►)
—
“Episodios históricos de burbujas especulativas,” Extoikos, 2012, 5, 65–73. (►)
— “The Role
of Personal Involvement and Responsibility in Unfair Outcomes: A Classroom
Investigation,” Rationality and Society, 2009, 21,
225–248 (joint with P. Brañas-Garza
and M. Paz Espinosa). (►)
— “The
Coordination Problem: Expectations and Inaction,” Journal of Post Keynesian Economics, 2008, 30, 583–600. (►)
— “Mathematical
Needs and Economic Interpretations,” Contributions
to Political Economy, 2007, 26, 1–16. (►)
— “Norm-Based
Behavior and Corporate Malpractice,” Journal of Economic Issues, 2007, 41,
221–241. (►)
— “An Example of Untranslatability,” The
European Journal of the History of Economic Thought, 2004, 11, 79–107
(joint with M. Montalvo).
(►)
—
“El contenido
económico de los modelos matemáticos.” In A. Ávila, W. J. González and G.
Marqués (eds.), Objetividad, realismo y retórica: Nuevas perspectivas en
Metodología de la Economía, 2003, Fondo de Cultura Económica, pp. 89–122 (joint with M. Montalvo).
—
“Precios y producción,” Revista de
Economía Aplicada, 2001, VII, 145–151.
— “El mercado como orden
espontáneo y el principio de ignorancia,”
Theoria,
2001, 13, 543–570 (joint with M. Montalvo).
Books
— Hayek (1899–1992), Madrid: Edics. del Orto.
— El análisis
económico y la inconmensurabilidad,
Granada: UGR Press.
—
Feyerabend (1924–1994), Madrid: Edics. del Orto.