Publications (237) Publications auxquelles un chercheur a participé

2024

  1. A multidimensional analysis of corporate governance and firm value

    Journal of Management and Governance

  2. A neural network approach for predicting corruption in public procurement

    European Journal of International Management, Vol. 22, Núm. 2, pp. 175-197

  3. An international analysis of fraud detection in European structural and investment funds

    European Journal of International Management, Vol. 22, Núm. 2, pp. 198-229

  4. Beneath the surface: The asymmetric effects of unconventional monetary policy on corporate investment

    Finance Research Letters, Vol. 61

  5. CORPORATE STRUCTURE AND PREVENTION: THE THREE LINES MODEL APPLIED TO LATIN AMERICAN COMPANIES

    Corporate and Business Strategy Review, Vol. 5, Núm. 1, pp. 226-240

  6. Climate vulnerability and capital investments in tourism

    Current Issues in Tourism

  7. Corruption, national culture and corporate investment: European evidence

    European Journal of Finance, Vol. 30, Núm. 4, pp. 411-429

  8. Determinants of the use of European Structural and Investment Funds

    European Journal of Finance, Vol. 30, Núm. 4, pp. 430-455

  9. Economic policy uncertainty and capital structure in Europe: an agency approach

    European Journal of Finance

  10. Escaping Zombiness: Does Corporate Governance Have the Elixir of Life?

    British Journal of Management

  11. Executive gender and firm leverage decisions: The role of firm ownership and governance

    Journal of Business Research, Vol. 179

  12. From dawn to dusk: The relationship between CEO career horizon and ESG engagement

    International Review of Financial Analysis, Vol. 93

  13. How do Good Governance Practices Affect Mining Companies? Peru’s Case

    Review of Development Finance, Vol. 14, Núm. 1, pp. 25-39

  14. Pretending to be sustainable: Is ESG disparity a symptom?

    Journal of Contemporary Accounting and Economics, Vol. 20, Núm. 2

  15. Risk analysis of Spanish companies

    Global Policy, Vol. 15, Núm. S1, pp. 76-91

  16. The moderating role of economic uncertainty via corruption on investment: evidence from European firm level

    European Journal of International Management, Vol. 22, Núm. 2, pp. 230-253

  17. The zero-debt puzzle in BRICS countries: Disentangling the financial flexibility and financial constraints hypotheses

    Emerging Markets Review, Vol. 61

2023

  1. Board social capital in an emerging market: Do directors’ connections affect corporate risk-taking?

    Borsa Istanbul Review, Vol. 23, Núm. 5, pp. 1173-1190

  2. C.E.O. characteristics and corporate risk-taking: evidence from emerging markets

    Economic Research-Ekonomska Istrazivanja , Vol. 36, Núm. 2

  3. Do CEO characteristics matter for corporate risk taking? Evidence from Russia

    Corporate Governance (Bingley), Vol. 23, Núm. 5, pp. 1019-1045