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Pablo Durán-Santomil
Pablo Durán-Santomil
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Title
Cited by
Cited by
Year
The effect of Enterprise Risk Management on the risk and the performance of Spanish listed companies
LO González, PD Santomil, AT Herrera
European Research on Management and Business Economics 26 (3), 111-120, 2020
1172020
Does sustainability score impact mutual fund performance?
P Durán-Santomil, L Otero-González, RH Correia-Domingues, ...
Sustainability 11 (10), 2972, 2019
642019
Is value creation consistent with currency hedging?
M Vivel Búa, L Otero González, S Fernández López, P Durán Santomil
The European Journal of Finance 21 (10-11), 912-945, 2015
402015
Enterprise risk management and Solvency II: the system of governance and the Own Risk and Solvency Assessment
P Durán Santomil, L Otero González
The Journal of Risk Finance 21 (4), 317-332, 2020
332020
Exploring the gender effect on Europeans’ retirement savings
S Fernández-López, M Vivel-Búa, L Otero-González, P Durán-Santomil
Feminist Economics 21 (4), 118-150, 2015
312015
Foreign debt as a hedging instrument of exchange rate risk: a new perspective
LO Gonzalez, MV Bua, SF Lopez, PD Santomil
The European Journal of Finance 16 (7), 677-710, 2010
212010
Is quantitative and qualitative information relevant for choosing mutual funds?
L Otero-González, P Durán-Santomil
Journal of Business Research 123, 476-488, 2021
202021
Determinantes del rendimiento académico del alumnado de una asignatura de contabilidad: el caso de la USC
PD Santomil, JMM Sanfiz, DR Pazos, SC Agra
REDU: Revista de Docencia Universitaria 14 (1), 151-178, 2016
172016
Does a Company’s Profitability Influence the Level of CSR Development?
L Otero-González, P Durán-Santomil, LI Rodriguez-Gil, R Lado-Sestayo
Sustainability 13 (6), 3304, 2021
142021
Active management, value investing and pension fund performance
L Otero-González, P Durán-Santomil, R Lado-Sestayo, M Vivel-Búa
European journal of management and business economics 30 (3), 299-317, 2021
122021
Análisis del riesgo de renta variable en el marco de solvencia II: modelos internos frente al modelo estándar
PD Santomil, LAO González, SF López, MV Búa
Cuadernos de Economía y Dirección de la Empresa 14 (2), 91-101, 2011
122011
Do investors obtain better results selecting mutual funds through quantitative ratings?
L Otero-González, P Durán Santomil, RH Correia-Domingues
Spanish Journal of Finance and Accounting/Revista Española de Financiación y …, 2020
112020
La decisión de cobertura del riesgo cambiario en las empresas internacionales
MM Vivel Búa, LA Otero González, S Fernández López, P Durán Santomil
Universidad de Huelva, 2012
112012
Las barreras al emprendimiento universitario femenino
MM Vivel Búa, P Durán Santomil, S Fernández López, D Rodeiro Pazos
Investigaciones de Economía de la Educación. 2008; p. 337-346, 2008
92008
Why hedge currency exposure with foreign currency debt?
M Vivel‐Búa, L Otero‐González, S Fernández‐López, P Durán‐Santomil
Academia Revista Latinoamericana de Administración 26 (2), 258-289, 2013
82013
Diseño de un modelo de análisis financiero dinámico (DFA) aplicado al seguro de automóvil español
LO González, PD Santomil
Revista europea de dirección y economía de la empresa 17 (4), 63-84, 2008
82008
Backtesting an equity risk model under Solvency II
PD Santomil, LO González, OM Cunill, JMM Lindahl
Journal of Business Research 89, 216-222, 2018
72018
The effect of credit derivatives usage on the risk of European banks
LIR Gil, LO González, SC Agra, PD Santomil
rEviSta dE Economía mundial, 197-219, 2015
72015
The main determinants of subprime securitization in the Spanish RMBS securities
L Otero-González, M Ezcurra-Pérez, R Lado-Sestayo, P Durán-Santomil
Applied Economics 47 (58), 6301-6316, 2015
62015
Análisis de la decisión de cobertura cambiaria a través del endeudamiento en divisa en el mercado español
MV Búa, LO González, SF López, PD Santomil
Spanish Journal of Finance and Accounting/Revista Española de Financiación y …, 2009
62009
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