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ISSN: 2173-1268

The Spanish Review of Financial Economics

Spanish Review of Financial Economics aims to publish theoretical and empirical papers across all the major fields of financial research. Topical areas of interest include, but are not limited to: accounting, asset management, asset pricing, banking and financial institutions, corporate finance, corporate governance, derivatives, financial econometrics, international finance, market microstructure, and risk management. The Journal's purpose is to improve communications between, and within, the academic research community and policymakers and operational decision makers at firms or financial institutions.


  • SCImago Journal Rank (SJR):0,23
  • Source Normalized Impact per Paper (SNIP):0,302

Indexed in:

Contents of previous issue | Contents of following issue

Vol. 14. Num. 2. July - December 2016


A Poisson process with random intensity for modeling financial stability

Deniz Ilalan
The Spanish Review of Financial Economics 2016;14:43-50

The impact of prudential regulation on bank capital and risk-taking: The case of MENA countries

Khemaies Bougatef, Nidhal Mgadmi
The Spanish Review of Financial Economics 2016;14:51-6

Flows impact on pension funds. Evidence from UK conventional and social responsible pension funds

Mercedes Alda
The Spanish Review of Financial Economics 2016;14:57-65

Analyst consensus in the Eurozone stock markets

Ignacio Cervera
The Spanish Review of Financial Economics 2016;14:66-79