The Spanish Review of Financial Economics
The Spanish Review of Financial Economics aims to publish theoretical and empirical papers across all the major fields of financial research. Topical areas of interest include, but are not limited to: accounting, asset management, asset pricing, banking and financial institutions, corporate finance, corporate governance, derivatives, financial econometrics, international finance, market microstructure, and risk management. The Journal's purpose is to improve communications between, and within, the academic research community and policymakers and operational decision makers at firms or financial institutions.
The Spanish Review of Financial Economics publica artículos teóricos y empíricos en todas las áreas de la investigación financiera. Se incluyen las principales áreas de interés: contabilidad, gestión de activos, instituciones bancarias y financieras, finanzas corporativas, gestión empresarial, finanzas internacionales, derivados financieros, econometría, microestructura de los mercados y gestión de riesgos. El objetivo de la revista es mejorar la comunicación entre la comunidad de investigación académica y los responsables de la política y toma de decisiones operativas en las empresas o instituciones financieras.
Executive Editors Francisco González , Ignacio Olmeda
Imprint: Elsevier Doyma
ISSN: 2173-1268
Most cited
Top 10 Cited (articles published in the last five years)
Extracted from Scopus (on Mon Jul 1)De Andrés, P. | Rodríguez, J.A. Corporate boards in high-tech firms Spanish Review of Financial Economics, Volume 9, Issue 2, 2011-07-01, Pages 69-79 Jiménez-Rodríguez, E.J. | Feria-Domínguez, J.M. | Martín-Marin, J.L. The regulatory loss cut-off level: Does it undervalue the operational capital at risk? Spanish Review of Financial Economics, Volume 9, Issue 2, 2011-07-01, Pages 49-54 Fernández Méndez, C. | Arrondo García, R. | Fernández Rodríguez, E. Corporate governance and executive pay in the Spanish market Spanish Review of Financial Economics, Volume 9, Issue 2, 2011-07-01, Pages 55-68 - View all items
Recent articles
Mon Jul 11 Ramiro Losada The financial institutions incentives when they place financial assets with credit risk to retail investors The Spanish Review of Financial Economics, Volume 11, Issue 1, January𢀓June 2013, Pages 1-12 2 Elena Cubillas | Nuria Suárez Bank market power after a banking crisis: Some international evidence The Spanish Review of Financial Economics, Volume 11, Issue 1, January𢀓June 2013, Pages 13-28 3 Kai Chang | Su Sheng Wang | Ke Peng Mean reversion of stochastic convenience yields for CO2 emissions allowances: Empirical evidence from the EU ETS The Spanish Review of Financial Economics, Volume 11, Issue 1, January𢀓June 2013, Pages 39-45 4 José Luis Miralles-Marcelo | José Luis Miralles-Quirós | María del Mar Miralles-Quirós Multivariate GARCH models and risk minimizing portfolios: The importance of medium and small firms The Spanish Review of Financial Economics, Volume 11, Issue 1, January𢀓June 2013, Pages 29-38 5 Rosa M. Mayoral | Eleuterio Vallelado The interaction of environmental factors and individual traits on investors𢀙 perception The Spanish Review of Financial Economics, Volume 10, Issue 2, July𢀓December 2012, Pages 62-73 6 Alex Barrachina | Gonzalo Rubio | Amparo Urbano Multiplicity in financial equilibrium with portfolio constrains under the generalized logarithmic utility model The Spanish Review of Financial Economics, Volume 10, Issue 2, July𢀓December 2012, Pages 41-52 7 Beatriz Balbás | Raquel Balbás Building good deals with arbitrage-free discrete time pricing models The Spanish Review of Financial Economics, Volume 10, Issue 2, July𢀓December 2012, Pages 53-61 8 David Abad | José Yagüe From PIN to VPIN: An introduction to order flow toxicity The Spanish Review of Financial Economics, Volume 10, Issue 2, July𢀓December 2012, Pages 74-83 9 Ricardo Gimeno | José Manuel Marqués A market based approach to inflation expectations, risk premia and real interest rates The Spanish Review of Financial Economics, Volume 10, Issue 1, January𢀓June 2012, Pages 18-29 10 Diego García | Øyvind Norli Crawling EDGAR The Spanish Review of Financial Economics, Volume 10, Issue 1, January𢀓June 2012, Pages 1-10 - View all items

