Publicaciones en colaboración con investigadores/as de Universidad de Castilla-La Mancha (19)

2024

  1. Inflación, redistribución y la política monetaria

    Mediterráneo económico, Núm. 38, pp. 155-170

2023

  1. Tail sensitivity of stocks to carbon risk: a sectoral analysis

    Journal of Credit Risk, Vol. 19, Núm. 4, pp. 23-57

2022

  1. Carbon dioxide risk exposure: Co2Risk

    Climate Risk Management, Vol. 36

  2. Measuring systemic risk during the COVID-19 period: A TALIS3 approach

    Finance Research Letters, Vol. 46

  3. The economic effects of fiscal policy: Further evidence for Spain

    Quarterly Review of Economics and Finance, Vol. 86, pp. 305-313

2020

  1. A dominance approach for comparing the performance of VaR forecasting models

    Computational Statistics, Vol. 35, Núm. 3, pp. 1411-1448

2012

  1. Credit rating announcements, trading activity and yield spreads: The Spanish evidence

    International Journal of Monetary Economics and Finance, Vol. 5, Núm. 1, pp. 38-63