Search Results (All Fields:"assets", Display Type:"Artículo de revista", Keywords:"Economía")

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González-Sánchez, Mariano . (2022) Factorial asset pricing models using statistical anomalies.  3.93 50 17
González-Sánchez, Mariano . (2022) Asset pricing models in emerging markets: Factorial approaches vs. information stochastic discount factor.  3.81 52 34
González-Sánchez, Mariano . (2021) Is there a relationship between the time scaling property of asset returns and the outliers? Evidence from international financial markets.  3.74 66 16
Martínez Raya, Antonio, Segura de la Cal, Alejandro y Rodríguez Oromendía, Ainhoa . (2023) Financialization of Real Estate Assets: A Comprehensive Approach to Investment Portfolios through a Gender-Based Study.  3.67 38 11
González-Sánchez, Mariano . (2021) The influence of Google search index on stock markets: an analysis of causality in-mean and variance.  3.62 31 37
González-Sánchez, Mariano . (2022) Term Structure of Risk Factor Premiums Used for Pricing Asset: Emerging vs. Developed Markets.  3.57 53 18
González‑Sánchez, Mariano, Ibáñez Jiménez, Eva M. y Segovia San Juan, Ana I. . (2022) Market and model risks: a feasible joint estimate methodology.  3.47 82 27
González-Sánchez, Mariano y Morales de Vega, M. Encina . (2021) Influence of Bloomberg’s Investor Sentiment Index: Evidence from European Union Financial Sector.  3.39 36 13
Manya Orellana, Marlon Vicente y González Rabanal, Miryam de la Concepción . (2023) Application of IFRS 9 Financial Instruments and the Exposure to Credit Risk (Case Study in Ecuador).  3.39 55 15
Morales Rodríguez, Doris y Juma’h, Ahmad H. . (2015) Las políticas de incentivos económicos, la inversión en activos específicos y la deslocalización de las multinacionales en Puerto Rico..  3.33 701 509
Czubala Ostapiuk, Marcin Roman y Benedicto Solsona, Miguel Ángel . (2021) Next Generation European Union and the digital transformation: an opportunity for Spain.  3.33 71 14
González-Sánchez, Mariano y Nave Pineda, Juan M. . (2023) Where is the distribution tail threshold? A tale on tail and copulas in financial risk measurement.  3.28 58 22
González-Sánchez, Mariano, Ibáñez Jiménez, Eva M. y Segovia San Juan, Ana I. . (2021) Market and Liquidity Risks Using Transaction-by-Transaction Information.  2.56 69 14
González-Sánchez, Mariano, Ibáñez Jiménez, Eva M. y Segovia San Juan, Ana I. . (2021) Board of Directors’ Remuneration, Employee Costs, and Layoffs: Evidence from Spain.  2.27 75 15