Jose Manuel
Feria Domínguez
Publicaciones (63) Publicaciones de Jose Manuel Feria Domínguez
2024
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Are Ecuadorian banks enough technically efficient for growth? A clinical study
International Journal of Finance and Economics, Vol. 29, Núm. 2, pp. 2011-2029
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Do ESG disclosures mitigate investors’ reaction on mining disasters? Evidence from Brazil
Quarterly Review of Economics and Finance, Vol. 95, pp. 256-267
2022
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ARE UNIVERSITY MANAGEMENT TEAMS STRATEGIC STAKEHOLDERS WITHIN HIGHER EDUCATION INSTITUTIONS? A CLINICAL STUDY
Economics and Sociology, Vol. 15, Núm. 1, pp. 141-159
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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)
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Are microfinance institutions' financial performance gender driven? Evidence from Argentina
Business Strategy and Development, Vol. 5, Núm. 3, pp. 197-208
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Reputational risk on corporate corruption scandals: evidence from Latin America
Academia Revista Latinoamericana de Administracion, Vol. 35, Núm. 3, pp. 329-344
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Stock market reaction to environmental lawsuits: Empirical evidence from the case against Boliden-Apirsa
Environmental Impact Assessment Review, Vol. 96
2021
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Applying wrapper-based variable selection techniques to predict MFIs profitability: evidence from Peru
Journal of Development Effectiveness, Vol. 13, Núm. 1, pp. 84-99
2020
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Applying the open government principles to the university’s strategic planning: A sound practice
Sustainability (Switzerland), Vol. 12, Núm. 5, pp. 1-13
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Are the financial markets sensitive to hydrological risk? Evidence from the bovespa
Water (Switzerland), Vol. 12, Núm. 11
2018
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Assessing the health-care risk: The clinical-var, a key indicator for sound management
International Journal of Environmental Research and Public Health, Vol. 15, Núm. 4
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Measuring the risk-adjusted performance of CO2 emission markets: Evidence from SENDECO2
Utilities Policy, Vol. 50, pp. 124-132
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Percepción financiera del riesgo reputacional medioambiental: evidencia del vertido Boliden
Boletín de estudios económicos, Vol. 73, Núm. 225, pp. 541-556
2017
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Hacia nuevos modelos de docencia-aprendizaje en Economía Financiera: una aplicación de juegos de simulación
III Congreso Internacional Virtual innovación pedagógica y praxis educativa: INNOVAGOGÍA 2016
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Risk perceptions on hurricanes: Evidence from the U.S. stock market
International Journal of Environmental Research and Public Health, Vol. 14, Núm. 6
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Toward an efficient people-risk capital allocation for financial firms: Evidence from US banks
Journal of Operational Risk, Vol. 12, Núm. 4, pp. 71-94
2016
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Financial perceptions on oil spill disasters: Isolating corporate reputational risk
Sustainability (Switzerland), Vol. 8, Núm. 11
2015
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People-value at risk: a key performance indicator (KPI) four sound management in financial institutions
XXIII Congreso EBEN España
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Tackling the over-dispersion of operational risk: Implications on capital adequacy requirements
North American Journal of Economics and Finance, Vol. 31, pp. 206-221
2014
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People Value at Risk: a Key Indicator for Sound Management
Working Papers (Universidad Pablo de Olavide, de Sevilla. Departamento de Economía Financiera y Contabilidad), Núm. 3