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Content
1999
- 6432 Conflicts of interest, employment decisions, and debt restructuring: evidence from Spanish firms in financial distress
by Padilla, A. Jorge & Requejo, Alejandro
- 6431 Financial service firms' entry-mode choice, network linkages and cultural diversity : Spanish companies in Latin America
by Cardone Riportella, Clara & Samartín, Margarita & Álvarez, María José & Lado, Nora
- 6430 Exploring the internalization rationale for international investment: wholly owned subsidiary versus technology licensing in the worldwide chemical industry
by Arora, Ashish & Fosfuri, Andrea
1998
- 6547 Accountability and organizational survival: a study of the Spanish newspaper industry (1966-1993)
by Núñez-Nickel, Manuel & Gutiérrez, Isabel & Carmona, Salvador
- 6546 Capital market inefficiencies, credit rationing and lending relationship in SME's
by Cardone Riportella, Clara & Longarela, Iñaki R. & Camino Blasco, David
- 6545 Vogues in management accounting research
by Carmona, Salvador & Gutiérrez, Isabel
- 6544 An essay on the dimension and components of customisation in service operations management
by Álvarez, María José & Arias-Aranda, Daniel
- 6543 A main bank approach to financial contracting
by García Cestona, Miguel A. & Tribo Gine, José Antonio
- 6542 Diffusion of abatement technologies in a differentiated industry
by Petrakis, Emmanuel
- 6541 A computer-based aid for the design of a strategic organizational culture
by Cabrera, Elizabeth F. & Bonache, Jaime
- 6540 The financial implications of the resource-based strategy: specificity, opacity and financial structure
by Vicente-Lorente, José David
- 6539 Innovation, marketing information sharing and new product success in the European insurance sector
by Álvarez, María José & Lado, Nora & Villanueva Orbaiz, María Luisa
- 6538 Market orientation and business economic performance : a mediational model
by Maydeu Olivares, Alberto & Lado, Nora
- 6537 Strategic alliances and new product development: the cases of Rover and Seat
by Álvarez, María José & González de la Fe, Pedro
- 6536 The effect of innovation activity on innovating quasi-rents: an empirical application
by Martínez-Ros, Ester & Salas Fumás, Vicente
- 6535 The assessment of credit guarantee schemes for SME's: valuation and cost
by Camino Blasco, David & Cardone Riportella, Clara
- 6533 Environmental operations strategies: European approaches and research challenges
by Álvarez, María José & Rivera Camino, Jaime
- 6532 Licensing in the presence of competing technologies
by Arora, Ashish & Fosfuri, Andrea
- 6531 Information transmission around block trades on the Spanish stock market
by Tapia, Mikel & Martínez, Miguel Ángel & Yzaguirre, J.
- 6530 The role of demand deposits in risk sharing
by Samartín, Margarita
- 6529 Bank runs, suspension of convertibility versus deposit insurance
by Samartín, Margarita
- 6528 Exploring the link between market orientation and innovation in the European and US insurance markets
by Lado, Nora & Maydeu Olivares, Alberto
- 6526 Power and the economics of organizations
by Ortega, Jaime
- 6525 Explaining the decisions to carry out product and process innovations: the Spanish case
by Martínez-Ros, Ester
1997
- 7054 Empirical distributions of stock returns: european securities markets, 1990-95
by Aparicio, Felipe M. & Estrada, Javier
- 7040 Random walks and the temporal dimension of risk
by Estrada, Javier
- 7037 A model for financial intermediation and public intervention
by Samartín, Margarita
- 7035 Competing through marketing adoption: a comparative study of insurance companies in belgium and spain
by García, Clara Eugenia & Molero Ayala, Víctor & Rivera Camino, Jaime
- 7034 The role of institutional investors in international trading: an explanation of the home bias puzzle
by Gómez, Juan Pedro & Zapatero, Fernando
- 7032 Executive transitions, firm performance, organizational survival al and the nature of the principal-agent contract
by Gómez-Mejía, Luis R. & Gutiérrez, Isabel & Núñez-Nickel, Manuel
- 7030 The role of banks in relaxing financial constraints: some evidence on the investment behavior of spanish firms
by García, Teresa & Ocaña Pérez de Tudela, Carlos
- 7028 A general equilibrium approach to the stock returns and real activity relationship
by Restoy, Fernando & Peña, Juan Ignacio & Rodríguez, Rosa
- 7027 Long-term and short-term labor contracts versus long-term and short-term debt financial contracts
by Tribo Gine, José Antonio
- 7026 Perfect bayseian implementation: one round of signaling is not enough
by Brusco, Sandro
- 7024 Unique implementation of action profiles: necessary and sufficient conditions
by Brusco, Sandro
- 7023 Why do we smile? on the determinants of the implied volatility function
by Rubio, Gonzalo & Peña, Juan Ignacio & Serna, Gregorio
- 7022 An extension of a model of financial contracts and labor contracts
by Tribo Gine, José Antonio
- 7021 Strategic alliances with intangible assets : special reference to brand alllances
by Bonache, Jaime & Cerviño, Julio & Cruz Roche, Ignacio
- 7018 Stochastic measures of financial markets efficiency and integration
by Balbás, Alejandro & Muñoz-Bouzo, María José
- 7017 Integration and arbitrage in the spanish financial markets: an empirical approach
by Balbás, Alejandro & Longarela, Iñaki R. & Pardo, Ángel
- 7013 Optimal allocation of interest rate risk
by Samartín, Margarita
1996
- 7065 The role of information and trading volume on intradaily and weekly returns patterns in the Spanish stock market
by Camino Blasco, David
- 7064 A transaction cost approach to strategic alliances in telecommunications
by Camino Blasco, David & Trecu, Juan Ramón
- 7063 A single european union deposit insurance scheme? an overview
by Cardone Riportella, Clara
- 7062 Reexaminig the adoption of the marketing concept
by Rivera Camino, Jaime
- 7061 Forms of market strategies in the European insurance sector
by Lado, Nora & Rivera Camino, Jaime Eduardo
- 7060 Modelling market orientanon : a structural equation approach
by Lado, Nora & Maydeu Olivares, Alberto & Rivera Camino, Jaime Eduardo
- 7059 The Spanish management style: an exploratory comparison with the French managers
by Rivera Camino, Jaime & Verna, Gérard
- 7058 A red queen approach to management accounting: an experiential study of a Spanish hotel group
by Carmona, Salvador
- 7057 The importance of various work aspects and their organiza tional consequences using Hofstede's cultural dimensions
by Gómez-Mejía, Luis R. & Saura, M. D.
- 7056 The effectiveness of organization-wide compensation strategies in technology intensive firms
by Saura, M. D. & Gómez-Mejía, Luis R.
- 7055 The linkages between business strategies and compensation policies using miles and snow's framework
by Saura, M. D. & Gómez-Mejía, Luis R.
- 7014 The liquidity premiun in equity pricing under a continuous auction system
by Tapia, Mikel & Rubio, Gonzalo
- 6017 Expatriate compesation and its link to subsidiary strategic role : a theoretical analysis
by Bonache, Jaime & Fernández, Zulima
1995
- 7082 The economics of bank regulation
by Bhattacharya, Sudipto & Boot, Arnoud W.A. & Thakor, Anjan V.
- 7081 Maxmin portfolios in financial immunization
by Balbás, Alejandro & Ibáñez, Alfredo
- 7075 The financial cost of official export credit insurance programs of industrialized countries: an analysis
by Camino Blasco, David & Cardone Riportella, Clara
- 7072 The role of insurance and limited liability on corporate insolvencies
by Camino Blasco, David
- 7069 Towards an understanding of changing accounting practice using institutional theory: the case of the royal tobacco factory of Seville
by Ezzamel, Mahmoud & Gutiérrez, Fernando & Carmona, Salvador
- 7068 Empirical evidence on the impact of European insider trading regulations
by Estrada, Javier & Peña, Juan Ignacio
- 7067 Learning from forgetting: an experiential study of two European car manufacturers
by Carmona, Salvador & Grönlund, Anders
- 7066 The market orientation: competitive organizational strategy
by Rivera Camino, Jaime
1994
- 10735 Daily seasonality and stock market reforms in Spain
by Peña, Juan Ignacio
- 7084 Stock market microstructure in Spain: a note
by Peña, Juan Ignacio
- 7083 Stock market regulations and international financial integration: the case of Spain
by Peña, Juan Ignacio & Ruiz Ortega, Esther
- 7079 Mergers and takeovers in Spain: empirical evidence on abnormal returns and insider trading
by Ocaña Pérez de Tudela, Oscar & Peña, Juan Ignacio & Robles, Dolores
- 7078 When can you immunize a bond portfolio?
by Balbás, Alejandro & Ibáñez, Alfredo
- 7077 Control and cost accounting practices in the Spanish royal tobacco facfory
by Carmona, Salvador & Ezzamel, Mahmoud & Gutiérrez, Fernando
- 7076 Ambiguity in multicriteria quality decisions
by Gutiérrez, Isabel & Carmona, Salvador
- 7073 Why are there merger waves?
by Ocaña Pérez de Tudela, Carlos
1993