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António R. Antunes

Fields of study: 
Empirical Economics
Macroeconomics

 

Investigador

Departamento de Estudos Económicos

aantunes@bportugal.pt

https://orcid.org/0000-0002-7541-297X

  

 

Formação:

Doutoramento em Economia, Universidade Nova de Lisboa, 2002

Mestrado em Economia, Universidade Nova de Lisboa, 1997

Licenciatura em Engenharia Eletrotécnica, Instituto Superior Técnico, 1992

 

Experiência profissional:

Diretor-Adjunto, Departamento de Estudos Económicos, Banco de Portugal, desde 2015

Coordenador da Área de Política Monetária, Departamento de Estudos Económicos, Banco de Portugal, de 2012 a 2014

Economista Coordenador, Área de Estabilidade Financeira, Departamento de Estudos Económicos, Banco de Portugal, de 2006 a 2012

 

Experiência académica:

Professor Auxiliar convidado, NOVA School of Business and Economics, desde 2013

Banco de Portugal scientific articles (26)
2016
Firm default probabilities revisited
Banco de Portugal Economic Studies
2015
Co-movement of revisions in short- and long-term inflation expectations
Banco de Portugal Economic Studies
2020
Intergenerational wealth inequality: the role of demographics
Working Papers
2019
Tighter Credit and Consumer Bankruptcy Insurance
Working Papers
2016
Public debt expansions and the dynamics of the household borrowing constraint
Working Papers
2016
Forecasting banking crises with dynamic panel probit models
Working Papers
Published at: International Journal of Forecasting, Vol. 34, Issue 2, pp. 249-275
2010
Borrowing Patterns, Bankruptcy and Voluntary Liquidation
Working Papers
2007
Do labor market policies affect employment composition? Lessons from European countries
Working Papers
2006
Computing General Equilibrium Models with Occupational Choice and Financial Frictions
Working Papers
Published at: Journal of Mathematical Economics, Vol. 44, Issues 7–8, pp. 553-568
2005
Analysis of delinquent firms using multi-state transitions
Working Papers
2005
Intermediation costs, investor protection and economic development
Working Papers
2004
Accounting for the Hidden Economy: Barriers to Legality and Legal Failures
Working Papers
Published at: European Economic Review, Vol.51(1), 2006, pp.203-224
2003
Corruption, Credit Market Imperfections, and Economic Development
Working Papers
Published at: Quarterly Review of Economics and Finance
2022
Climate change and the economy: an introduction
Occasional Papers
2014
Early Warning Indicators of Banking Crises: Exploring new Data and Tools
Economic Bulletin Articles
2008
The Effect of Financial Frictions on Economic Development
Economic Bulletin Articles
2006
Legalisation Costs, Contract Enforcement and the Informal Sector
Economic Bulletin Articles
2004
Liquidity and Order Flow in the Portuguese Stock Market
Economic Bulletin Articles
2012
Access to credit by non-financial firms
Financial Stability Articles
2012
A Scoring Model For Portuguese Non-Financial Enterprises
Financial Stability Articles
2011
Towards a CCA-based Systemic Risk Indicator
Financial Stability Articles
Published at: A Flow-of-Funds Perspective on the Financial Crisis, Vol. 2, Palgrave
2011
Debt and extinction of firms
Financial Stability Articles
2010
An Application of Contingent Claim Analysis to the Portuguese Banking System
Financial Stability Articles
2007
The Distribution of Losses in Credit to Non-Financial Firms
Financial Stability Articles
2006
Estimating Probabilities of Default under Macroeconomic Scenarios
Financial Stability Articles
2005
Estimates of expected losses in credit portfolios – an application of survival analysis to firms with defaulted credit
Financial Stability Articles
Other scientific articles (9)
2021
Health and Earnings: a General Equilibrium Evaluation
Other Contributions
Published at: Research in Economics, Volume 75, Issue 3, 2021, Pages 203-214
2020
Public debt expansions and the dynamics of the household borrowing constraint
Other Contributions
Published at: Review of Economic Dynamics Volume 37, 2020, Pages 1-32
2018
Forecasting banking crises with dynamic panel probit models
Other Contributions
Published at: International Journal of Forecasting Volume 34, Issue 2, 2018, Pages 249-275
2014
The Effects of Credit Subsidies on Development
Other Contributions
Published at: Economic Theory Vol. 51(1), pp. 1-30
2013
Costly intermediation and consumption smoothing
Other Contributions
Published at: Economic Inquiry Vol. 51(1) pp. 459-472
2013
The welfare gains of financial liberalization: capital accumulation and heterogeneity
Other Contributions
Published at: Journal of the European Economic Association, Vol. 11(6), pp. 1348-1381
2008
The effect of financial repression and enforcement on entrepreneurship and economic development
Other Contributions
Published at: Journal of Monetary Economics, Vol. 55, Issue 2, pp. 278-297
2006
Start up costs, limited enforcement, and the hidden economy
Other Contributions
Published at: European Economic Review, Vol. 51, Issue 1, pp. 203-224
2003
Corruption, credit market imperfections, and economic development
Other Contributions
Published at: Quarterly Review of Economics and Finance, Volume 43, Issue 4, 2003, Pages 627-642
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