Research and review articles |
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| · The New Standardised Approach as a Credible Fallback Rossignolo, Adrián F.
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| · Dependence in the Banking Sector of the United States and Mexico: A Copula Approach Bucio Pacheco, Christian; Villanueva, Luis; Jesús Gutiérrez, Raúl de
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| · Volatility Contagion between Stock Market and Exchange Rate in Mexico and Brazil (2000-2020) López Villa, Jorge; Sosa Castro, Miriam
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| · Asymmetric Volatility Relevance in Risk Management: An Empirical Analysis using Stock Index Futures Benavides, Guillermo
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| · Competition in the credit market among dominant banks in Mexico Méndez-Heras, Lizethe Berenice; Venegas-Martínez, Francisco; Linthon-Delgado, Diego Emilio
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| · Discretion in the application of the goodwill impairment test in European banks Pallarés Sanchidrián, Jorge; Pérez García, Javier; Gonzalo-Angulo, José A.
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| · Strategies in Retirement Fund Selection in the Mexican Retirement Market 1997-2018 Rodríguez-Reyes, Luis Raúl; Samaniego, Ángel; Pasillas, Mireya
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| · Comparison of Statistical Underlying Systematic Risk Factors and Betas Driving Returns on Equities Ladrón de Guevara Cortés, Rogelio; Torra Porras, Salvador; Monte Moreno, Enric
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| · Fuzzy Portfolio Selection with Sugeno Type Fuzzy Neural Network: Investing in the Mexican Stock Market Castro Pérez, Judith Jazmin; Medina Reyes, José Eduardo
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| · FinTech’s business model in Mexico, a preliminary analysis Díaz-Peña, Luz del Carmen
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