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Institut de Recerca en Economia Aplicada Regional i Pública (IREA)
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Results 1-10 of 19 (Search time: 0.018 seconds).
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Issue Date
Title
Author(s)
2021
Rethinking Asset Pricing with Quantile Factor Models
Uribe Gil, Jorge Mario; Guillén, Montserrat; Vidal-Llana, Xenxo
2022
Daily Growth at Risk: financial or real drivers? The answer is not always the same
Chuliá Soler, Helena; Garrón, Ignacio; Uribe Gil, Jorge Mario
2023
Economic uncertainty and suicide mortality in post-pandemic England
Sorić, Maša; Sorić, Petar; Clavería González, Óscar
2024
Quantifying sovereign risk in the euro area
Singh, Manish Kumar; Gómez-Puig, Marta; Sosvilla Rivero, Simón
2007
EU-15 sovereign governments’ cost of borrowing after seven years of monetary union
Gómez-Puig, Marta
2015
Spillovers from the United States to Latin American and G7 stock markets: A VAR quantile analysis [WP]
Chuliá Soler, Helena; Guillén, Montserrat; Uribe Gil, Jorge Mario
2015
Bank risk behavior and connectedness in EMU countries [WP]
Singh, Manish Kumar; Gómez-Puig, Marta; Sosvilla Rivero, Simón
2013
The use of flexible quantile-based measures in risk assessment [WP]
Belles Sampera, Jaume; Guillén, Montserrat; Santolino, Miguel
2011
A correlation sensitivity analysis of non-life underwriting risk in solvency capital requirement estimation [WP]
Bermúdez, Lluís; Ferri Vidal, Antoni; Guillén, Montserrat
2014
European government bond market integration in turbulent times [WP]
Abad, Pilar; Chuliá Soler, Helena
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Author
6
Gómez-Puig, Marta
6
Sosvilla Rivero, Simón
5
Chuliá Soler, Helena
5
Guillén, Montserrat
4
Singh, Manish Kumar
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Subject
19
Risc (Economia)
5
Bonds
4
Bancs
4
Banks
4
Països de la Unió Europea
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Date issued
5
2020 - 2024
13
2010 - 2019
1
2007 - 2009