Publikationen (223) Publikationen, an denen Forscher/innen teilgenommen haben

2022

  1. ARE UNIVERSITY MANAGEMENT TEAMS STRATEGIC STAKEHOLDERS WITHIN HIGHER EDUCATION INSTITUTIONS? A CLINICAL STUDY

    Economics and Sociology, Vol. 15, Núm. 1, pp. 141-159

  2. Are luxury automative brands sensitive to Covid outbreak?

    El papel de la innovación y la economía social como instrumentos para la recuperación económica y sostenible en un escenario post pandemia: Libro de actas del V Congreso Iberoamericano de Jóvenes Investigadores en Ciencias Económicas y Dirección de Empresas (AJICEDE)

  3. Are microfinance institutions' financial performance gender driven? Evidence from Argentina

    Business Strategy and Development, Vol. 5, Núm. 3, pp. 197-208

  4. Bond market completeness under stochastic strings with distribution-valued strategies

    Quantitative Finance, Vol. 22, Núm. 2, pp. 197-211

  5. Influence of Computer Knowledge and Level of Education on Spanish Citizens’ Propensity to Use E-Commerce

    Social Science Computer Review, Vol. 40, Núm. 6, pp. 1376-1392

  6. ROLE OF FINANCIAL LITERACY AND AWARENESS OF TAX IMPACTS IN AN EMERGING ECONOMY FACING TAX REFORM

    Economics and Sociology, Vol. 15, Núm. 1, pp. 222-240

  7. Reputational risk on corporate corruption scandals: evidence from Latin America

    Academia Revista Latinoamericana de Administracion, Vol. 35, Núm. 3, pp. 329-344

  8. Stock market reaction to environmental lawsuits: Empirical evidence from the case against Boliden-Apirsa

    Environmental Impact Assessment Review, Vol. 96

  9. Using the Z-score to analyze the financial soundness of insurance firms

    European journal of management and business economics, Vol. 31, Núm. 1, pp. 22-39

2020

  1. Applying the open government principles to the university’s strategic planning: A sound practice

    Sustainability (Switzerland), Vol. 12, Núm. 5, pp. 1-13

  2. Are the financial markets sensitive to hydrological risk? Evidence from the bovespa

    Water (Switzerland), Vol. 12, Núm. 11

  3. Economic crisis and determinants of solvency in the insurance sector: new evidence from Spain

    Accounting and Finance, Vol. 60, Núm. 3, pp. 2965-2994

  4. Sovereign bond spreadsand CDS premia in the Eurozone: A causality analysis

    Revista de métodos cuantitativos para la economía y la empresa, Vol. 30, pp. 58-78

  5. Valuation of caps and swaptions under a stochastic string model

    Physica A: Statistical Mechanics and its Applications, Vol. 559