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Content
2020, Volume 25, Issue 49
- 5-25 Model for assessing the quality of marketing-management education
by Rivera, Jaime & Alarcón, Víctor
- 27-43 Dimensions of tax burden: a review on OECD countries
by Celikay, Ferdi
- 45-60 Investigation of optimal inflation targets for 15 major oil exporting Sub-Saharan African countries: A panel threshold estimation
by Abdullahi, Idris & Chua, Soo & Mohd, Saidatulakmal
- 61-72 Corporate governance and business innovation among listed Moroccan companies
by Samlal, Zoubida
- 73-88 The mediating role of adoption of an electronic tax system in the relationship between attitude towards electronic tax system and tax compliance
by Night, Sadress & Bananuka, Juma
- 89-100 An introduction to pensionomics
by Ruiz Estrada, Mario Arturo & Koutronas, Evangelos
- 101-117 Predicting manufacturing employee turnover intentions
by Skelton, Angie & Nattress, Deborah & Dwyer, Rocky
- 119-147 The dynamics of bondmarket development, stockmarket development and economic growth: Evidence from the G-20 countries
by Pradhan, Rudra & Arvin, Mak & Norman, Neville & Bahmani, Sahar
- 149-161 The associations between stock prices, inflation rates, interest rates are still persistent: Empirical evidence from stock duration model
by Eldomiaty, Tarek & Saeed, Yasmeen & Hammam, Rasha & AboulSoud, Salma
- 163-180 Generation and distribution of income in Mexico, 1990-2015
by Ayvar-Campos, Francisco & Navarro-Chávez, José César & Giménez, Víctor
2019, Volume 24, Issue 48
- 176-193 Uncertainty under hyperbolic discounting: the cost of untying your hands
by Alcocer, Christian & Ortegón, Julian & Roa, Alejandro
- 194-204 Fractional differencing in stock market price and online presence of global tourist corporations
by Flores-Muñoz, Francisco & Báez-García, Alberto Javier & Gutiérrez-Barroso, Josué
- 205-220 Does IFRS convergence really increase accounting qualities?Emerging market evidence
by Fuad, Fuad & Juliarto, Agung & Harto, Puji
- 221-240 An alternative formula for the constant growth model
by Forsyth, Juan A.
- 241-265 Seasonal anomalies in the market for American depository receipts
by Lobão, Júlio
- 266-287 Internet financial reporting adoption: Exploring the influence of board role performance and isomorphic forces
by Bananuka, Juma & Night, Sadress & Ngoma, Muhammed & Najjemba, Grace Muganga
- 288-311 The impact of transaction costs in portfolio optimization: A comparative analysis between the cost of trading in Peru and the United States
by Chavalle, Luc & Chavez-Bedoya, Luis
- 312-326 “Fool me once, …”: deception, morality and self-regeneration in decentralized markets
by Gomes, Orlando & Frade, João
- 327-344 Financial performance trends of United States Hockey Inc: a resource-dependency approach
by Omondi-Ochieng, Peter
- 345-368 Analysing the impact of a business intelligence system and new conceptualizations of system use
by Gonzales, Rolando & Wareham, Jonathan
2019, Volume 24, Issue 47
- 4-28 The determinants of conventional banks profitability in developing and underdeveloped OIC countries
by Al-Harbi, Ahmad
- 29-46 Impact of information and communication technology in Nigerian small-to medium-sized enterprises
by Okundaye, Kessington & Fan, Susan & Dwyer, Rocky
- 47-65 Should banks be averse to elections? A GMM analysis of recent elections in Ghana
by Yaw, Mohammed & Hosen, Mosharrof & Nyagsi, Hardi & Tiamiyu, Ganiyatu
- 66-81 Return and volatility spillover across equity markets between China and Southeast Asian countries
by Thai, Ngo
- 82-96 Co-authorship networks of Argentine economists
by Larrosa, Juan
- 97-112 Determinants of innovation: A multivariate analysis in Colombian micro, small and medium-sized enterprises
by Restrepo-Morales, Jorge & Leandro, Osmar & Vanegas, Juan
- 113-126 Financial development and economic growth: panel evidence from BRICS
by Kumar, Biplab & Sekhar, Inder
- 127-144 The relationship between the income and behavioural biases
by Isidore, Renu & Christie, P.
- 145-156 Foreign direct investment and institutional stability: who drives whom?
by Mahmood, Nihal & Hassan, Mohammad & Mustapha, Ishaq & Tasnia, Mashiyat
- 157-170 Personal bankruptcy prediction using decision tree model
by Heryati, Sharifah & Ismail, Shafinar & Wah, Bee
2018, Volume 23, Issue 46
- 199-229 Bank risk and performance in an emerging market setting: the case of Bangladesh
by Hossain Majumder, Md. Tofael & Li, Xiaojing
- 230-246 Employment and labour hoarding: a production function approach
by Vella, Melchior
- 247-265 Microfinancing, governance, and performance: a South Asian perspective
by Saeed, Asif & Javed, Attiya Y. & Noreen, Umara
- 266-288 Size premium, value premium and market timing: evidence from an emerging economy
by Haroon Rashid, Syed & Sadaqat, Mohsin & Jebran, Khalil & Ali Memon, Zulfiqar
- 289-305 The effect of ownership composition on earnings management: evidence for the Mexican stock exchange
by San Martín-Reyna, Juan Manuel
- 306-322 The impact of monetary policy on Islamic bank financing: bank-level evidence from Malaysia
by Zulkhibri, Muhamed
2018, Volume 23, Issue 45
- 128-137 La cuarta hélice y la financiación de la innovación
by Sierra, Jaime
- 138-149 The influence of knowledge related to innovative performance
by Leiva, Juan Carlos & Brenes-Sanchez, Ronald
- 150-166 Social power of preadolescent children on influence in their mothers’ purchasing behavior Initial study in Peruvian toy stores
by Carrillo, Miriam & Gonzalez-Sparks, Alicia & U. Salcedo, Nestor
- 167-181 Earnings management para evitar reportar pérdidas: Chile, 2010-2014
by Cornejo-Saavedra, Edinson Edgardo
- 182-195 A bibliometric analysis of venture capital research
by Cancino , Christian A. & Merigo, Jose M. & Torres, Juan P. & Diaz, David
2018, Volume 23, Issue 44
- 4-28 Determinantes y pronostico de la actividad bursátil del mercado accionario colombiano
by Agudelo, David & Agudelo, Diego A. & Peláez, Julián
- 29-59 Estrategias competitivas y gestión deportiva Una perspectiva de la Teoría Basada en Recursos aplicada al sector del fútbol
by Quispe, Julio & Rivera, Jaime
- 60-76 Is gold a hedge or a safe haven? An application of ARDL approach
by Shakil, Mohammad Hassan & Mustapha, Is’haq Muhammad & Tasnia, Mashiyat & Saiti, Buerhan
- 77-94 Is the health care price inflation in US urban areas stationary? Evidence from panel unit root tests
by Murthy, Vasudeva & Okunade, Albert
- 95-112 Modeling and forecasting abnormal stock returns using the nonlinear Grey Bernoulli model
by Doryab, Bahar & Salehi, Mahdi
- 113-124 Effects of institutional quality and the development of the banking system on corporate debt
by Tresierra, Alvaro Edmundo & Reyes, Sergio David
2017, Volume 22, Issue 43
- 131-153 Efectos De La Realización De Un Megaevento Deportivo Sobre Una Economía Local. El Caso De Los Juegos Mundiales 2013 Cali
by AGUADO, LUIS & Osorio, Ana & Arbona, Alexei & Peña-Vinces, Jesús
- 154-167 Liderazgo Orientado a La Gente En Call Centers
by León, Federico R. & MORALES, OSWALDO & RAMOS, JUAN D. & Goyenechea, Álvaro & ROJAS, PAUL A. & Meza, José & Burga-León, Andrés
- 168-190 The Financial Services Industry and Society The Role of Incentives/Punishments, Moral Hazard, and Conflicts of Interests in the 2008 Financial Crisis
by MURRAY, NOEL & Manrai, Ajay K & MANRAI, LALITA AJAY
- 191-206 The Role of Liquidity in Asset Pricing: The Special Case of the Portuguese Stock Market
by Miralles-Quiros, Maria del Mar & Miralles-Quiros, Jose Luis & Oliveira, Célia
- 207-223 The Use of the Recognition Heuristic as an Investment Strategy in European Stockmarkets
by Lobão, Júlio & Pacheco, Luís & Pereira, Carlos
- 224-250 The Valuation Performance of Mathematically-Optimised, Equity-Based Composite Multiples
by Nel, Soon & le Roux, Niël
2017, Volume 22, Issue 42
- 3-24 Using a naive Bayesian classifier methodology for loan risk assessment: Evidence from a Tunisian commercial bank
by Krichene, Aida
- 25-36 The short-term response of the Hispanic noncitizen population to anti-illegal immigration legislation The case of Arizona SB 1070
by Sánchez, Gonzalo E.
- 37-50 Dependencia serial de largo plazo en el índice bursátil chileno, a través del coeficiente de Hurst y Hurst ajustado
by Acuña-Opazo, Christian & Álvarez-Marín, Alejandro
- 51-74 Capital structure management differences in Latin American and US firms after 2008 crisis
by Valcacer, Santiago & José de Moura, Heber & Lopes , David & Amorim , Vinicius
- 75-98 Does More Energy Consumption Support Economic Growth in Net Energy-Importing Countries?
by Esen, Ömer & Bayrak, Metin
- 99-128 A behavioral analysis of the volatility of interbank interest rates in developed and emerging countries
by Rossetti, Nara & Seido , Marcelo & Faria , Jorge
2016, Volume 21, Issue 41
- 50-55 Pricing maximum-minimum bidirectional options in trinomial CEV model
by Peng, Bin & Peng, Fei
- 56-62 Valorización de opciones reales: modelo Ornstein-Uhlenbeck
by Tresierra, Álvaro & Carrasco, Claudia
- 63-72 Institutionalist versus distortionist views of labor market reforms: An investigation into the post-liberalized manufacturing sector in India
by Kumar , Anup & Sudarsan, Arun
- 73-80 Calibración de parámetros de los modelos de tasas de interés NS y NSS para Colombia: una nota técnica
by Velásquez, Mateo & Gutiérrez , Juan & Almonacid , Paula
- 81-88 Corporate governance characteristics and valuation: Inferences from quantile regression
by Ali, Fekri & Abdelnabi, Milad & Iqbal, Hafezali & Alaeddin, Omar & Bin , Omer
- 89-93 Stock market index prediction using artificial neural network
by Hedayati , Amin & Hedayati , Moein & Esfandyari, Morteza
2016, Volume 21, Issue 40
- 2-7 Determining equivalent charges on flow and balance in individual account pension systems
by Chávez–Bedoya, Luis
- 8-13 Determinants of financial information disclosure: A visualization test by cognitive mapping technique
by Garoui, Nassreddine
- 14-24 Does Innovation Strategy Affect Financial, Social and Environmental Performance?
by Ezzia, Ferdaws & Jarbouib, Anis
- 25-29 Role of Tourist Destination Development in Building its Brand Image: A Conceptual Model
by Manhas , Parikshat & Manrai , Lalita & Manrai, Ajay
- 30-38 Modelling self-sufficiency of microfinance institutions using logistic regression based on principal component analysis
by Irimia-Diégueza, Ana & Blanco-Olivera, Antonio & Oliver-Alfonso, María Dolores
- 39-47 La tasa interna de retorno promedio borrosa: desarrollos y aplicaciones
by Milanesi, Gastón S.
2015, Volume 20, Issue 39
- 74-83 Emerging Markets Integration in Latin America (MILA) Stock market indicators: Chile, Colombia and Peru
by Lizarzaburu, Edmundo & Burneob, Kurt & Galindoc, Hamilton & Berggrund, Luis
- 84-93 The integration of stock exchanges: The case of the Latin American Integrated Market (MILA) and its impact on ownership and internationalization status in Colombian brokerage firms
by Yepes-Rios, Beatriz & Gonzalez-Tapia, Kelly & Gonzalez-Perez, Maria Alejandra
- 94-104 Little value creation, articulation and propagating forces: A hypothesis for the Mexican manufacturing sector
by Roca , Santiago & Simabuko , Luis
- 105-117 Malaysian Finance Sector Weak-Form Efficiency: Heterogeneity, Structural Breaks, and Cross-Sectional Dependence
by Ching Kok, Sook & Munir, Qaiser
- 118-132 Effective use of marketing technology in Eastern Europe: Web analytics, social media, customer analytics, digital campaigns and mobile applications
by Jayarama, Dureen & Manraib, Ajay K. & Manraib, Lalita A.
- 133-136 Training and development as a tool for improving basic service delivery; the case of a selected municipality
by Mpofu, Mthokozisi & Kendrick Hlatywayo, Clifford
- 137-140 The Link Class Project: Collaborative virtual teams between Peru and The Netherlands
by OLIVOS, MARIELLA & Rincón , Sandra & Rutkowski, Anne-Francoise
2015, Volume 20, Issue 38
2014, Volume 19, Issue 37
- 70-77 Dynamic estimation of an interest rate structure in Colombia. Empirical analysis using the Kalman filter
by Maldonado, Rogelio & Zapata, Natalia & Pantoja, Javier
- 78-89 External audit quality and ownership structure: interaction and impact on earnings management of industrial and commercial Tunisian sectors
by Kouaiba, Amel & Jarbouib, Anis
- 90-97 El fenómeno de la informalidad y su contribución al crecimiento económico: el caso de la ciudad de Guayaquil
by Véliz , José & Díaz , Suleen
- 98-103 CEO’s personal characteristics, ownership and investment cash flow sensitivity: Evidence from NYSE panel data firms
by Ben Mohamed, Ezzeddine & Naceur , Mohamed & Baccar, Amel & Bouri, Abdelfettah
- 104-107 Effectiveness of corporate finance valuation methods: Piotroski score in an Ohlson model: the case of Mexico
by Durán-Vázquez, Rocío & Lorenzo-Valdés, Arturo & Castillo-Ramírez, Claudia
- 108-117 Fusiones y adquisiciones en Latinoamérica, gobierno corporativo y modelo gravitacional
by Vasco, Mateo & Cortés, Lina & Gaitán, Sandra & Durán, Iván
2014, Volume 19, Issue 36
- 2-10 Modelo binomial para la valoración de empresas y los efectos de la deuda: escudo fiscal y liquidación de la firma
by Milanesi, Gastón
- 11-18 Investment cash flow sensitivity under managerial optimism: New evidence from NYSE panel data firms
by Mohamed, Ezzeddine & Fairchild, Richard & Bouri, Abdelfettah
- 19-44 Index tracking and enhanced indexation using a parametric approach
by Chavez-Bedoya, Luis & Birge, John
- 45-54 Características estadísticas del índice general de la Bolsa de Valores de Colombia (IGBC) en sus primeros 10 años
by Alonso, César & Torres, Giselle
- 55-62 Examining mean-volatility spillovers across national stock markets
by Natarajana, Vinodh & Raja , Azariah & Priyac, Nagarajan
- 63-68 Aid allocation, selectivity, and the quality of governance
by In’airat, Mohammad
2013, Volume 18, Issue 35
- 57-62 Adoption determinants of the International Accounting Standards IAS/IFRS by the developing countries
by Zehri, Fatma & Chouaibi, Jamel
- 63-71 Are over-paid Chief Executive Officers better innovators?
by Jouber, Habib
- 72-88 Optimal investment paths during the life cycle of a multi-funds system
by Arboleda, Alejandra & Soto, Carlos & Gutierrez, Juan
- 89-96 Institutional investors, corporate governance, and earnings management around merger: evidence from French absorbing firms
by Njah, Mouna & Jarboui, Anis
- 97-107 Oferta pública inicial y underpricing en el mercado de capitales mexicano
by Villarreal, Cuauthemoc
- 109-118 El transporte internacional como factor de competitividad en el comercio exterior
by Zamora, America & pedraza, oscar
2013, Volume 18, Issue 34
- 2-8 Transactional capability: Innovation’s missing link
by Tello-Gamarra, Jorge & Zawislak, Paulo Antônio
- 9-15 The twin deficits hypothesis and reverse causality: A short-run analysis of Peru
by Sobrino, César R
- 16-23 Perceptions of professionals interested in accounting and auditing about acceptance and adaptation of global financial reporting standards
by Bozkurt, Orhan & İslamoğlu, Mehmet & Öz, Yaşar
- 24-33 Efecto sobre la rentabilidad que tiene para el afiliado la comisión cobrada por las administradoras de fondos de pensiones
by Medina, Alex & Gallegos, Cecilia & Vivallo, Celso & Cea, Yasna & Alarcón, Alexi
- 34-44 Localización geográfica y sectores de inversión: factores decisivos en el desempeño de las multinacionales mexicanas durante la crisis
by Basave, Jorge & Gutiérrez-Haces, M. Teresa
- 45-53 The impact of intellectual capital disclosure on cost of equity capital: A case of French firms
by Boujelbene, Mohamed
2013, Volume 18, Issue 00
2012, Volume 17, Issue 33
- 2-9 Pricing Asian power options under jump-fraction process
by Peng, Bin & Peng, Fei
- 10-14 Who responds more to monetary policy, conventional banks or participation banks?
by Macit, Fatih
- 15-30 Evaluación del impacto de la política de incentivos sectoriales en el desarrollo de los municipios mineros de Castilla y León
by Berumen, Sergio A.
- 31-37 Spatial equilibrium, market integration and price exogeneity in dry fish marketingin Nigeria: A vector auto-regressive (VAR) approach
by E. Mafimisebi, Taiwo
- 38-47 Rendimiento ex-dividendo como indicador de eficiencia en un mercado emergente:caso colombiano 1999-2007
by Arroyave C., Elizabeth T. & Agudelo R., Diego A.
- 48-69 Modeling, simulation and analysis of a securities settlement system:The case of Central Securities Depository of Mexico
by Muñoz, David F & Palacios, Arturo & Lascurain, Miguel
2012, Volume 17, Issue 32
- 7-16 Effects of Activist Shareholding on Corporate Social Responsibility Reporting Practices: An Empirical Study in Spain
by Prado-Lorenzo, José Manuel & García-Sánchez, Isabel María & Gallego-Álvarez, Isabel
- 19-26 Effects of Activist Shareholding on Corporate Social Responsibility Reporting Practices: An Empirical Study in Spain
by Prado-Lorenzo, José Manuel & García-Sánchez, Isabel María & Gallego-Álvarez, Isabel
- 19-26 Human Resource Management Practices Aimed at Seeking the Commitment of Employees on Financial and Non-Financial (Subjective) Performance in Spanish Firms: An Empirical Contribution
by Triguero, Rafael & Peña-Vinces, Jesús & González-Rendon, Manuel & Sánchez-Apellaniz, Mercedes
- 33-40 The Shamans of Wall Street: A Real Conundrum in Finance. Why Systematically Poor Performing Asset Managers Survive?
by Delgado, Fransico A. & Cueto, Diego C.
- 41-52 Price – Earnings Ratio for the Lima Stock Exchange: Issues and Applications
by Pereda, Javier
- 53-73 The Mexican Peso: Exchange Risk Coverage Management through the Forgotten Effects Theory
by Salazar-Garza, Ricardo
- 75-85 Role of Online Education in Building Brand Image of Educational Institutions
by Manhas, Parikshat S.
2011, Volume 16, Issue 31
2011, Volume 16, Issue 30
- 7-12 On Welfare Effects Of Horizontal Mergers With Product Differentiation
by Escrihuela-Villar, Marc
- 13-29 ANALYSIS OF CHARACTERISTICS OF BUSINESS INCUBATORS IN COLOMBIA: A Case Study
by Peña-Vinces, Jesús C. & Bravo, Saulo & Álvarez, Félix A. & Pineda, Duván
- 31-49 Distributive Politics, Nature Of Government Spending And Economic Growth In A Low Income Democracy
by Sasmal, Joydeb
- 51-61 Peru: Economic Policies To Close The Gap In The Knowledge Balance
by Roca, Santiago
- 63-82 STRATEGIC FORMULATION. CASE: Business Sector State Food and Beverages Carabobo
by Cordero Borjas, Ana Emilia
- 83-96 ASPECTS TO CONSIDER FOR HIGH QUALITY ADMINISTRATION OF CORPORATE DISTRIBUTION CENTERS (Centros de Distribución, CEDIS)
by Arrieta Posada, Juan Gregorio
2010, Volume 15, Issue 29
- 7-13 Pricing Arithmetic Asian Options Under The Cev Process
by Peng, Bin & Peng, Fei
- 15-33 Strategic Brand Positioning Analysis Through Comparison Of Cognitive And Conative Perceptions
by Manhas, Parikshat S.
- 35-49 Re-Engineering Agriculture For Enhanced Performance Through Financing
by Mafimisebi, Taiwo & Oguntade, Adegboyega & Mafimisebi, Ojuotimi
- 51-71 Applying Chaid To Identify The Accounting-Financial Characteristics Of The Most Profitable Real Estate Companies In Spain
by Rayo, Salvador & Cortes, Antonio M.
- 73-93 Agency Costs And The Size Discount: Evidence From Acquisitions
by Offenberg, David
- 95-117 THE EFFICIENT FRONTIER AN THE LIMITS ON INVESTMENT FOR PENSION PLAN ADMINISTRATORS (AFP) A New Perspective
by Ortiz, Diana & Chirinos, Miguel & Hurtado, Yvonka
2010, Volume 15, Issue 28
- 7-43 Estimation Of Discount Rates In Latin America: Empirical Evidence And Challenges
by Fuenzalida, Darcy & Mongrut, Samuel
- 45-64 Adr Effects On Domestic Latin Maerica Financial Market
by Mendiola, Alfredo
- 65-88 Fallibility Of The Rough Set Method In The Formulation Of The Failure Prediction Index Model Of Dynamic Risk
by Mosqueda, Rubén
- 89-124 A Credit Scoring Model For Institutions Of Microfinance Under The Basel Ii Normative
by Rayo Cantón, Salvador & Lara Rubio, Juan & Camino Blasco, David
- 125-140 Determinants Of Strategic Risk Management In Emerging Markets Supply Chains: The Case Of Mexico
by Lassar, Walfried & Haar, Jerry & Montalvo, Raúl & Hulser, Leslie
- 141-171 Benchmarking About Lean Manufacturing In The Textile Sector In Medellin
by Arrieta Posada, Juan Gregorio & Botero Herrera, Victoria Eugenia & Romano Martínez, María Eugenia
2009, Volume 14, Issue 27
2009, Volume 14, Issue 26