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Section Index

35 Articles
Modeling credit spreads under multifactor stochastic volatility
Jacinto Marabel Romo
The Spanish Review of Financial Economics. 2014;12:40-5
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Financial crises and the transfer of risk between the private and public sectors: Evidence from European financial markets
M. Teresa Corzo Santamaría, Javier Gómez Biscarri, Laura Lazcano Benito
The Spanish Review of Financial Economics. 2014;12:1-14
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Self-organizing maps as a tool to compare financial macroeconomic imbalances: The European, Spanish and German case
Félix J. López Iturriaga, Iván Pastor Sanz
The Spanish Review of Financial Economics. 2013;11:69-84
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Corporate stakeholders and trust
Marc Goergen
The Spanish Review of Financial Economics. 2013;11:47-56
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The impact of interbank and public debt markets on the competition for bank deposits
Carlos Pérez Montes
The Spanish Review of Financial Economics. 2013;11:57-68
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Assessment of window dressing using fund returns and portfolio holdings
Cristina Ortiz, Gloria Ramírez, José Luis Sarto
The Spanish Review of Financial Economics. 2013;11:85-93
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Multivariate GARCH models and risk minimizing portfolios: The importance of medium and small firms
José Luis Miralles-Marcelo, José Luis Miralles-Quirós, María del Mar Miralles-Quirós
The Spanish Review of Financial Economics. 2013;11:29-38
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Bank market power after a banking crisis: Some international evidence
Elena Cubillas, Nuria Suárez
The Spanish Review of Financial Economics. 2013;11:13-28
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Mean reversion of stochastic convenience yields for CO2 emissions allowances: Empirical evidence from the EU ETS
Kai Chang, Su Sheng Wang, Ke Peng
The Spanish Review of Financial Economics. 2013;11:39-45
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The financial institutions incentives when they place financial assets with credit risk to retail investors
Ramiro Losada
The Spanish Review of Financial Economics. 2013;11:1-12
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