Universidad de Las Palmas de Gran Canaria-ko ikertzaileekin lankidetzan egindako argitalpenak (42)

2024

  1. A crisis like no other? Financial market analogies of the COVID-19-cum-Ukraine war crisis

    North American Journal of Economics and Finance, Vol. 74

2021

  1. Stress Spillovers among Financial Markets: Evidence from Spain

    JOURNAL OF RISK AND FINANCIAL MANAGEMENT, Vol. 14, Núm. 11

  2. Testing unobserved market heterogeneity in financial markets: The case of Banco Popular

    Quarterly Review of Economics and Finance, Vol. 79, pp. 151-160

2018

  1. Fear connectedness among asset classes

    Applied Economics, Vol. 50, Núm. 39, pp. 4234-4249

2016

  1. Portfolios in the Ibex 35 before and after the Global Financial Crisis

    Applied Economics, Vol. 48, Núm. 40, pp. 3826-3847

  2. Using connectedness analysis to assess financial stress transmission in EMU sovereign bond market volatility

    Journal of International Financial Markets, Institutions and Money, Vol. 43, pp. 126-145

2015

  1. Sostenibilidad del sistema sanitario y contribución de los servicios de urgencias

    Emergencias, Vol. 27, Núm. 3, pp. 197-202

  2. The influence of the economic crisis on the association between unemployment and health: an empirical analysis for Spain

    European Journal of Health Economics, Vol. 16, Núm. 2, pp. 175-184

  3. Volatility spillovers in EMU sovereign bond markets

    International Review of Economics and Finance, Vol. 39, pp. 337-352

2014

  1. An empirical examination of the determinants of the shadow economy

    Applied Economics Letters, Vol. 21, Núm. 5, pp. 304-307

  2. El modelo sanitario en peligro

    Mediterráneo económico, Núm. 25, pp. 331-346

  3. The term structure of interest rates as predictor of stock returns: Evidence for the IBEX 35 during a bear market

    International Review of Economics and Finance, Vol. 31, pp. 21-33