Análisis financiero

Análisis financiero

La regulación financiera y bancaria y sus efectos, la estructura competitiva del sector bancario, los medios de pago a la financiación de empresas y el papel de lo financiero en el crecimiento económico, son algunos de los aspectos tratados en esta sección.

Destacados


Artículo

Tensions in the U.S. and eurozone sovereign debt markets

Transatlantic divergence in fiscal and monetary policies is driving renewed volatility in sovereign bond markets, with U.S. Treasury yields elevated and eurozone spreads widening, particularly in Germany. Going forward, the lack of economic policy coordination could continue to generate episodes of instability in international financial markets.

Artículo

Spanish versus European bank exposure to sovereign risk

Spanish banks’ exposure to public debt has increased more sharply than the EU average, reaching 15.4% of total assets in 2024. Amortised cost accounting and international diversification help risk mitigation, while higher interest rates on public debt holdings have significantly boosted returns for the domestic business.

Artículo

Improving valuations for Spanish and European banks

After years of trading below book value despite solid fundamentals, Spanish and European banks have seen a marked revaluation since late 2024, surpassing price to book value (P/BV) ratios of 1x. Improved margins have supported a strong recovery in valuations, narrowing the profitability gap with U.S. peers; however, structural and regulatory differences continue to explain the persistent valuation gap between European and U.S. banks.

Funcas

Think tank dedicado a la investigación económica y social

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