Journal Information
Most often read
30843
A comprehensive review of Value at Risk methodologiesPilar Abad, Sonia Benito, Carmen López
The Spanish Review of Financial Economics. 2014;12:15-32
30843
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25486
From PIN to VPIN: An introduction to order flow toxicityDavid Abad, José Yagüe
The Spanish Review of Financial Economics. 2012;10:74-83
25486
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15808
Causes and resolution of bankruptcy: The efficiency of the lawInmaculada Aguiar-Díaz, María Victoria Ruiz-Mallorquí
The Spanish Review of Financial Economics. 2015;13:71-80
15808
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12930
Crawling EDGARDiego García, Øyvind Norli
The Spanish Review of Financial Economics. 2012;10:1-10
12930
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12355
Flows impact on pension funds. Evidence from UK conventional and social responsible pension fundsMercedes Alda
The Spanish Review of Financial Economics. 2016;14:57-65
12355
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11967
A banking union for Europe: Making a virtue out of necessityMaría Abascal, Tatiana Alonso-Gispert, Santiago Fernández de Lis, Wojciech A. Golecki
The Spanish Review of Financial Economics. 2015;13:20-39
11967
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10050
A market based approach to inflation expectations, risk premia and real interest ratesRicardo Gimeno, José Manuel Marqués
The Spanish Review of Financial Economics. 2012;10:18-29
10050
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9896
Measuring market liquidity in US fixed income markets: A new synthetic indicatorCarmen Broto, Matías Lamas
The Spanish Review of Financial Economics. 2016;14:15-22
9896
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8838
Self-organizing maps as a tool to compare financial macroeconomic imbalances: The European, Spanish and German caseFélix J. López Iturriaga, Iván Pastor Sanz
The Spanish Review of Financial Economics. 2013;11:69-84
8838
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8759
Diversification in M&As: Decision and shareholders’ valuationIsabel Feito-Ruiz, Susana Menéndez-Requejo
The Spanish Review of Financial Economics. 2012;10:30-40
8759
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8246
A Poisson process with random intensity for modeling financial stabilityDeniz Ilalan
The Spanish Review of Financial Economics. 2016;14:43-50
8246
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8100
The impact of prudential regulation on bank capital and risk-taking: The case of MENA countriesKhemaies Bougatef, Nidhal Mgadmi
The Spanish Review of Financial Economics. 2016;14:51-6
8100
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7175
Competition and structure of the mutual fund industry in Spain: The role of credit institutionsM. Isabel Cambon, Ramiro Losada
The Spanish Review of Financial Economics. 2014;12:58-71
7175
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7146
Linear and nonlinear interest rate sensitivity of Spanish banksLaura Ballester, Román Ferrer, Cristóbal González
The Spanish Review of Financial Economics. 2011;9:35-48
7146
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6063
Multivariate GARCH models and risk minimizing portfolios: The importance of medium and small firmsJosé Luis Miralles-Marcelo, José Luis Miralles-Quirós, María del Mar Miralles-Quirós
The Spanish Review of Financial Economics. 2013;11:29-38
6063
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5996
Systemic liquidity risk and portfolio theory: An application to the Italian financial marketsEleonora Iachini, Stefano Nobili
The Spanish Review of Financial Economics. 2016;14:5-14
5996
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5917
Debt refinancing and credit riskSantiago Forte, Juan Ignacio Peña
The Spanish Review of Financial Economics. 2011;9:1-10
5917
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5804
The interaction of environmental factors and individual traits on investors’ perceptionRosa M. Mayoral, Eleuterio Vallelado
The Spanish Review of Financial Economics. 2012;10:62-73
5804
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5661
Do ethical and conventional mutual fund managers show different risk-taking behavior?Isabel Marco, Fernando Muñoz, María Vargas
The Spanish Review of Financial Economics. 2011;9:11-9
5661
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5618
Relationship banking and bankruptcy resolution in Spain: The impact of sizeMaria Victoria Ruiz-Mallorquí, Inmaculada Aguiar-Díaz
The Spanish Review of Financial Economics. 2017;15:21-32
5618
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