Search Results (All Fields:"financialization", Keywords:"Economía", isMemberOf:"bibliuned:Setarticulo")

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Cuesta, Marta de la, Ruza, Cristina y Rodríguez, José Miguel . (2020) Rethinking the Income Inequality and Financial Development Nexus. A Study of Nine OECD Countries.  3.99 84 43
Cuesta, Marta de la, Paredes Gázquez, Juan Diego, Ruza, Cristina y Fernández Olit, Beatriz . (2021) The relationship of vulnerable financial consumers with banking institutions. A qualitative study in Spain.  3.99 75 16
Fernández-Olit, Beatriz, Paredes-Gázquez, Juan Diego y Cuesta-González, Marta de la . (2018) Are social and financial exclusion two sides of the same coin? An analysis of the financial integration of vulnerable people.  3.96 66 36
Ruza, Cristina y Caro Carretero, Raquel . (2022) The non-linear impact of financial development on environmental quality and sustainability: evidence from G7 countries.  3.93 70 23
Cuesta-González, Marta de la, Paredes-Gázquez, Juan Diego, Ruza, Cristina y Fernández-Olit, Beatriz . (2021) The relationship between vulnerable financial consumers and banking institutions. A qualitative study in Spain.  3.93 422 162
Fernández Olit, Beatriz, Ruza, Cristina, Cuesta, Marta de la y Matilla García, Mariano . (2019) Banks and financial discrimination: what can be learnt from the spanish experience?.  3.89 100 30
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.  3.82 38 11
González-Sánchez, Mariano y Morales de Vega, M. Encina . (2021) Influence of Bloomberg’s Investor Sentiment Index: Evidence from European Union Financial Sector.  3.78 36 13
Cuesta-González, Marta de la y Morales-García, Manuel . (2022) Does finance as usual work for circular economy transition? A financiers and SMEs qualitative approach.  3.78 53 62
González-Sánchez, Mariano . (2021) Is there a relationship between the time scaling property of asset returns and the outliers? Evidence from international financial markets.  3.68 66 16
González-Sánchez, Mariano . (2021) The influence of Google search index on stock markets: an analysis of causality in-mean and variance.  3.65 31 37
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.  3.65 58 22
Galán Gutiérrez, Juan Antonio y Martín-García, Rodrigo . (2022) Fundamentals vs. Financialization during Extreme Events: From Backwardation to Contango, a Copper Market Analysis during the COVID-19 Pandemic.  3.65 60 14
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).  3.59 55 15
Benito Muela, Sonia, López Martin, Carmen y Arguedas-Sanz, Raquel . (2023) A comparison of market risk measures from a twofold perspective: accurate and loss function.  3.46 107 40
Fullana, Olga, González-Sánchez, Mariano y Toscano, David . (2021) IFRS adoption and unconditional conservatism: an accrual-based analysis.  3.41 35 26
Ruza, Cristina, Cuesta, Marta de la y Paredes, Juan Diego . (2019) Banking system resilience and stability: constructing a composite indicator for developed countries.  3.41 164 29
Benito Muela, Sonia, López Martín, Carmen y Arguedas-Sanz, Raquel . (2017) An application of extreme value theory in estimating liquidity risk.  3.41 58 12
González-Sánchez, Mariano . (2022) Factorial asset pricing models using statistical anomalies.  3.41 50 17
Ramos-García, Daniel, López-Martín, Carmen y Arguedas-Sanz, Raquel . (2023) Climate transition risk in determining credit risk: evidence from firms listed on the STOXX Europe 600 index.  3.37 98 39
Martín García, Rodrigo, López Martín, Carmen y Arguedas-Sanz, Raquel . (2020) Collaborative Learning Communities for Sustainable Employment through Visual Tools.  3.37 92 24
González-Sánchez, Mariano, Segovia San Juan, Ana I. y Ibáñez Jiménez, Eva M. . (2023) Comparison of the effects of earnings management on the financial cost between companies in developed and emerging European countries.  2.52 79 17
González-Sánchez, Mariano, Ibáñez Jiménez, Eva M. y Segovia San Juan, Ana I. . (2022) Causes of country-specific effect related to the value relevance of cash flows and earnings: evidence from France, Germany, Italy and Spain.  2.38 85 15
González-Sánchez, Mariano, Segovia San Juan, Ana I. y Ibáñez Jiménez, Eva M. . (2023) Earnings management in socially responsible firms around seasoned equity offerings: Evidence from France, Germany, Italy and Spain.  2.29 88 19