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The Spanish Review of Financial Economics
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Inicio The Spanish Review of Financial Economics
Información de la revista
Número
Vol. 9. Núm. 1.
Páginas 1-34 (enero - junio 2011)
Articles
Debt refinancing and credit risk
Santiago Forte, Juan Ignacio Peña
The Spanish Review of Financial Economics. 2011;9:1-10
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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
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Variance swaps and intertemporal asset pricing
Belén Nieto, Alfonso Novales, Gonzalo Rubio
The Spanish Review of Financial Economics. 2011;9:20-30
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Note
Internationally affine term structure models
Antonio Diez de los Rios
The Spanish Review of Financial Economics. 2011;9:31-4
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