Publicaciones en colaboración con investigadores/as de Universidad Rey Juan Carlos (44)

2023

  1. Stress testing programs and credit risk opacity of banks: USA vs Europe

    Journal of International Financial Markets, Institutions and Money, Vol. 89

2022

  1. COVID-19 restrictions in the US: wage vulnerability by education, race and gender

    Applied Economics, Vol. 54, Núm. 25, pp. 2900-2915

2020

  1. Automation technologies: Long-term effects for Spanish industrial firms

    Technological Forecasting and Social Change, Vol. 151

  2. Does the Single Supervisory Mechanism Reduce Overall Risk in the European Stock Market?

    Global Policy, Vol. 11, Núm. S1, pp. 39-51

  3. Information opacity and corporate bond returns: The dynamics of split ratings

    Journal of International Financial Markets, Institutions and Money, Vol. 68

  4. Intra-industry transfer effects of credit risk news: Rated versus unrated rivals

    British Accounting Review, Vol. 52, Núm. 1

2016

  1. The international diversification-performance link in Spain: Does firm size really matter?

    International Business Review, Vol. 25, Núm. 2, pp. 548-558

2015

  1. El funcionamiento de los mercados: La oferta y la demanda

    Lecciones de economía para no economistas (Escuela Superior de Gestión Comercial y Marketing, ESIC), pp. 39-60

  2. The Risk-Return Binomial After Rating Changes

    Economic Notes, Vol. 44, Núm. 2, pp. 249-274

  3. The link between product diversification and performance among Spanish manufacturing firms: Analyzing the role of firm size

    Canadian Journal of Administrative Sciences, Vol. 32, Núm. 1, pp. 58-72