Zobrazeno 1 - 10
of 77
pro vyhledávání: '"Luis Otero González"'
Publikováno v:
Revista de Economía Mundial, Iss 58 (2021)
We analyze the effect of corporate governance on banks’ performance in the MENA countries using an index comprised of seven widely used governance measures, as a measure of firm-level corporate governance. In addition, we have also considered count
Externí odkaz:
https://doaj.org/article/de6ef94417f34db9aacdf062a1d86aef
Publikováno v:
Management Letters/Cuadernos de Gestión, Vol 14, Iss 2, Pp 99-120 (2014)
The new solvency regulation in the European insurance sector, denominated Solvency II, will completely transform the system of capital requirements estimation. Recently it has introduced the latest quantitative impact study (QIS5), which provides the
Externí odkaz:
https://doaj.org/article/09987cd86c5544a1be19ff54c66edaad
Publikováno v:
Revista Galega de Economía, Vol 19, Iss 1, Pp 1-24 (2010)
El entorno en el que las universidades desarrollan sus actividades ha cambiado radicalmente en las últimas décadas. Hoy en día la sociedad demanda una mayor participación de las instituciones académicas en su desarrollo social y económico. Dent
Externí odkaz:
https://doaj.org/article/27dbe885e1de4b4a98b6cf31c6297435
Publikováno v:
Revista Galega de Economía, Vol 12, Iss 2, p 0 (2003)
Resumen: Este trabajo tiene por objeto analizar las estrategias de gestión de activos y pasivos que permitan orientar la actividad aseguradora de vida hacia la generación de rentabilidad. Por ello, abordamos, en primer lugar, las particularidades
Externí odkaz:
https://doaj.org/article/9cf4ee7ec0ff4d0dbf5f7c93ef1e4b72
Publikováno v:
International Review of Economics & Finance. 82:479-496
Publikováno v:
The European Journal of Finance. :1-25
Publikováno v:
International Journal of Emerging Markets.
PurposeThe purpose of this study is to evaluate whether the classification of the equity mutual fund depends on the performance measure used.Design/methodology/approachThe sample for this study includes stock mutual funds for the USA, Europe and emer
Publikováno v:
Spanish Journal of Finance and Accounting / Revista Española de Financiación y Contabilidad. 51:213-231
In this paper we have analysed the performance of several value investing strategies for Eurozone equity mutual funds. We have executed an empirical study of what the application of this technique ...
Publikováno v:
Journal of Business Research. 123:476-488
Investors use ratings to make their investment decisions. In this paper we analyze whether the combination of qualitative and quantitative information allows the mutual funds to be identified that are able to beat their peers’. Our results show jus
The effect of Enterprise Risk Management on the risk and the performance of Spanish listed companies
Publikováno v:
European Research on Management and Business Economics, Vol 26, Iss 3, Pp 111-120 (2020)
This paper evaluates the effect of Enterprise Risk Management (ERM) on the performance and the financial stability of a sample of non-financial Spanish listed companies. The information about ERM is taken from the annual reports, management reports a