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Most Often Read

8620
A comprehensive review of Value at Risk methodologies
Pilar Abad, Sonia Benito, Carmen López
The Spanish Review of Financial Economics. 2014;12:15-32
8620
8088
From PIN to VPIN: An introduction to order flow toxicity
David Abad, José Yagüe
The Spanish Review of Financial Economics. 2012;10:74-83
8088
8058
Crawling EDGAR
Diego García, Øyvind Norli
The Spanish Review of Financial Economics. 2012;10:1-10
8058
7215
A banking union for Europe: Making a virtue out of necessity
María Abascal, Tatiana Alonso-Gispert, Santiago Fernández de Lis, Wojciech A. Golecki
The Spanish Review of Financial Economics. 2015;13:20-39
7215
4813
A market based approach to inflation expectations, risk premia and real interest rates
Ricardo Gimeno, José Manuel Marqués
The Spanish Review of Financial Economics. 2012;10:18-29
4813
4651
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
4651
3963
Linear and nonlinear interest rate sensitivity of Spanish banks
Laura Ballester, Román Ferrer, Cristóbal González
The Spanish Review of Financial Economics. 2011;9:35-48
3963
3884
Competition and structure of the mutual fund industry in Spain: The role of credit institutions
M. Isabel Cambon, Ramiro Losada
The Spanish Review of Financial Economics. 2014;12:58-71
3884
3844
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
3844
3815
The regulatory loss cut-off level: Does it undervalue the operational capital at risk?
Enrique José Jiménez-Rodríguez, José Manuel Feria-Domínguez, José Luis Martín-Marin
The Spanish Review of Financial Economics. 2011;9:49-54
3815
3404
Variance swaps and intertemporal asset pricing
Belén Nieto, Alfonso Novales, Gonzalo Rubio
The Spanish Review of Financial Economics. 2011;9:20-30
3404
3317
Debt refinancing and credit risk
Santiago Forte, Juan Ignacio Peña
The Spanish Review of Financial Economics. 2011;9:1-10
3317
3175
Diversification in M&As: Decision and shareholders’ valuation
Isabel Feito-Ruiz, Susana Menéndez-Requejo
The Spanish Review of Financial Economics. 2012;10:30-40
3175
3012
Corporate governance and executive pay in the Spanish market
Carlos Fernández Méndez, Rubén Arrondo García, Enrique Fernández Rodríguez
The Spanish Review of Financial Economics. 2011;9:55-68
3012
3010
Corporate boards in high-tech firms
Pablo de Andrés, Juan Antonio Rodríguez
The Spanish Review of Financial Economics. 2011;9:69-79
3010
2952
Internationally affine term structure models
Antonio Diez de los Rios
The Spanish Review of Financial Economics. 2011;9:31-4
2952
2596
Further empirical evidence on stochastic volatility models with jumps in returns
Ana González-Urteaga
The Spanish Review of Financial Economics. 2012;10:11-7
2596
2413
The interaction of environmental factors and individual traits on investors’ perception
Rosa M. Mayoral, Eleuterio Vallelado
The Spanish Review of Financial Economics. 2012;10:62-73
2413
2298
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
2298
2182
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
2182
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