ECONOMIA FINANCIERA Y CONTABILIDAD
Departamento
Universidad de Navarra
Pamplona, EspañaPublicaciones en colaboración con investigadores/as de Universidad de Navarra (10)
2017
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Sovereign tail risk
Journal of International Money and Finance, Vol. 79, pp. 174-188
2015
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Granger causality and systemic risk
Finance Research Letters, Vol. 15, pp. 49-58
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Systemic risk and asymmetric responses in the financial industry
Journal of Banking and Finance, Vol. 58, pp. 471-485
2013
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Good for one, bad for all: Determinants of individual versus systemic risk
Journal of Financial Stability, Vol. 9, Núm. 3, pp. 287-299
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Nonlinear dynamics in discretionary accruals: An analysis of bank loan-loss provisions
Journal of Banking and Finance, Vol. 37, Núm. 12, pp. 5186-5207
2012
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Short-term wholesale funding and systemic risk: A global CoVaR approach
Journal of Banking and Finance, Vol. 36, Núm. 12, pp. 3150-3162
2011
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Endogenous problems in cross-sectional valuation models based on accounting information
Review of Quantitative Finance and Accounting, Vol. 37, Núm. 2, pp. 245-265
2010
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Fundamentals and the origin of Fama-French factors: The case of the Spanish market*
Finance a Uver - Czech Journal of Economics and Finance, Vol. 60, Núm. 5, pp. 426-446
2009
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The value of adjusting the bias in recommendations: International evidence
European Financial Management, Vol. 15, Núm. 1, pp. 208-230
2008
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Does the value of recommendations depend on the level of optimism? A country-based analysis
Journal of Multinational Financial Management, Vol. 18, Núm. 4, pp. 405-426