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The Spanish Review of Financial Economics
Title
Publication Date
Language
Citations
A comprehensive review of Value at Risk methodologies
2014/01/01
English
76
The impact of prudential regulation on bank capital and risk-taking: The case of MENA countries
2016/07/01
English
37
From PIN to VPIN: An introduction to order flow toxicity
2012/07/01
English
34
Linear and nonlinear interest rate sensitivity of Spanish banks
2011/07/01
English
28
Mean reversion of stochastic convenience yields for CO2 emissions allowances: Empirical evidence from the EU ETS
2013/01/01
English
18
A Spanish Financial Market Stress Index (FMSI)
2016/01/01
English
12
Crawling EDGAR
2012/01/01
English
12
Bank market power after a banking crisis: Some international evidence
2013/01/01
English
12
Multivariate GARCH models and risk minimizing portfolios: The importance of medium and small firms
2013/01/01
English
11
Financial crises and the transfer of risk between the private and public sectors: Evidence from European financial markets
2014/01/01
English
11
Measuring market liquidity in US fixed income markets: A new synthetic indicator
2016/01/01
English
10
Determinants of sub-central European government debt
2017/07/01
English
10
Growth opportunities and the effect of corporate diversification on value
2014/07/01
English
8
Causes and resolution of bankruptcy: The efficiency of the law
2015/07/01
English
8
Response of Spanish stock market to ECB monetary policy during financial crisis
2015/07/01
English
8
Corporate boards in high-tech firms
2011/07/01
English
8
Competition and structure of the mutual fund industry in Spain: The role of credit institutions
2014/07/01
English
7
Do analyst's pre-issue recommendation create value? Empirical evidence from Indian IPO market
2014/07/01
English
6
Systemic liquidity risk and portfolio theory: An application to the Italian financial markets
2016/01/01
English
6
Hybrid multiple structural break model for stock price trend prediction
2017/07/01
English
6
The interaction of environmental factors and individual traits on investors’ perception
2012/07/01
English
6
Self-organizing maps as a tool to compare financial macroeconomic imbalances: The European, Spanish and German case
2013/07/01
English
5
Do ethical and conventional mutual fund managers show different risk-taking behavior?
2011/01/01
English
5
Further empirical evidence on stochastic volatility models with jumps in returns
2012/01/01
English
5
Debt refinancing and credit risk
2011/01/01
English
5
Relationship banking and bankruptcy resolution in Spain: The impact of size
2017/01/01
English
5
Banking Union: Meaning and implications for the future of banking
2015/01/01
English
4
The economic impact of European financial integration: The importance of the banking union
2015/01/01
English
4
A Poisson process with random intensity for modeling financial stability
2016/07/01
English
4
Effect of signals of bank ratings on stock returns before and during the financial crisis
2017/01/01
English
4
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