Publicacións (76) Publicacións de PABLO DURAN SANTOMIL

2023

  1. As crises de mercado e os alfas dos fondos axustados ao índice de referencia nun contexto de mercados pequenos

    Revista galega de economía: Publicación Interdisciplinar da Facultade de Ciencias Económicas e Empresariais, Vol. 32, Núm. 3, pp. 69-85

  2. Can managers’ characteristics explain European bond mutual fund performance?

    Finance Research Letters, Vol. 58

  3. Does team size and tenure matter for European pension funds?

    Applied Economics

  4. How to accomplish a highly cited paper in the tourism, leisure and hospitality field

    Journal of Business Research, Vol. 157

  5. 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

  1. Can ERM ratings explain the performance and risk of EMEA insurance companies?

    Journal of Risk Research, Vol. 25, Núm. 6, pp. 738-763

  2. Capital Allocation Methods under Solvency II: A Comparative Analysis

    Mathematics, Vol. 10, Núm. 3

  3. Do performance measures matter for stock mutual funds? An international analysis

    International Journal of Emerging Markets

  4. Gestión financiera internacional

    Thomson Reuters Aranzadi

  5. 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

  6. 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

  7. The Case of Analyst Ratings in US Equity Mutual Funds

    Studies in Computational Intelligence

  8. Value investing: application of different strategies to equity mutual funds

    Revista española de financiación y contabilidad, Vol. 51, Núm. 2, pp. 213-231

2021

  1. Active management, value investing and pension fund performance

    European journal of management and business economics, Vol. 30, Núm. 3, pp. 19-37

  2. Corporate governance and mena banks´ performance

    Revista de economía mundial, Núm. 58, pp. 51-74

  3. Does a company’s profitability influence the level of csr development?

    Sustainability (Switzerland), Vol. 13, Núm. 6

  4. Is quantitative and qualitative information relevant for choosing mutual funds?

    Journal of Business Research, Vol. 123, pp. 476-488

  5. La gestión integral del riesgo ( ERM ) y el seguro: un estudio del sector empresarial gallego dir.

    Fundación Inade

2020

  1. Do investors obtain better results selecting mutual funds through quantitative ratings?

    Revista española de financiación y contabilidad, Vol. 49, Núm. 3, pp. 265-291