PABLO
DURAN SANTOMIL
Profesor titular de universidade
LUIS ALBERTO
OTERO GONZALEZ
Catedrático de universidade
Publicacións nas que colabora con LUIS ALBERTO OTERO GONZALEZ (59)
2024
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Analysis of the effect of growth strategies and hotel attributes on performance
Management Decision
2023
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Can managers’ characteristics explain European bond mutual fund performance?
Finance Research Letters, Vol. 58
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Does team size and tenure matter for European pension funds?
Applied Economics
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How to accomplish a highly cited paper in the tourism, leisure and hospitality field
Journal of Business Research, Vol. 157
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The impact of ERM on insurer performance under the Solvency II regulatory framework
European Journal of Finance, Vol. 29, Núm. 4, pp. 419-443
2022
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Can ERM ratings explain the performance and risk of EMEA insurance companies?
Journal of Risk Research, Vol. 25, Núm. 6, pp. 738-763
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Capital Allocation Methods under Solvency II: A Comparative Analysis
Mathematics, Vol. 10, Núm. 3
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Do performance measures matter for stock mutual funds? An international analysis
International Journal of Emerging Markets
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Gestión financiera internacional
Thomson Reuters Aranzadi
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Morningstar Star ratings and the performance, risk and flows of European bond mutual funds
International Review of Economics and Finance, Vol. 82, pp. 479-496
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The explanatory power of expenses in the performance of eurozone mutual funds
European Journal of Government and Economics, Vol. 11, Núm. 1, pp. 31-50
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The Case of Analyst Ratings in US Equity Mutual Funds
Studies in Computational Intelligence
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Value investing: application of different strategies to equity mutual funds
Revista española de financiación y contabilidad, Vol. 51, Núm. 2, pp. 213-231
2021
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Active management, value investing and pension fund performance
European journal of management and business economics, Vol. 30, Núm. 3, pp. 19-37
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Corporate governance and mena banks´ performance
Revista de economía mundial, Núm. 58, pp. 51-74
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Does a company’s profitability influence the level of csr development?
Sustainability (Switzerland), Vol. 13, Núm. 6
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Is quantitative and qualitative information relevant for choosing mutual funds?
Journal of Business Research, Vol. 123, pp. 476-488
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La gestión integral del riesgo ( ERM ) y el seguro: un estudio del sector empresarial gallego
Fundación Inade
2020
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Do investors obtain better results selecting mutual funds through quantitative ratings?
Revista española de financiación y contabilidad, Vol. 49, Núm. 3, pp. 265-291
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El sector fintech: pasado, presente y futuro
4ª revolución industrial: retos de la sociedad y economía digital en la era Pos-Covid-19 (Thomson Reuters Aranzadi), pp. 119-140