858: la crisis de la solvencia: un modelo económico-financiero para un entorno en transición. 

    Martínez de Tejada Pérez, Carlos (Date of defense: 2012-03-09)

    Esta investigación nace del análisis de la economía española, fuertemente anclada en el sector construcción y se centra en la investigación de alternativas para afrontar un cambio de modelo. En efecto, la Sociedad española ...

    Disponibilidad y obtención del crédito de las PYME : evidencia del mercado peruano 

    Montero Flores, Roberto Elías (Date of defense: 2015-06-16)

    The objective of the present investigation is to analyze two important issues that contribute in great measure to the economic growing of the country, as is the growing and permanence of the SMEs, framed in the access to ...

    Implicacions dels mercats de futurs i opcions sobre bestiar en viu: anàlisi de la possibilitat d'implantació en territori català 

    Torres i Feixas, Carles (Date of defense: 2001-04-27)

    Quan es planteja la possibilitat d'implantació d'un mercat de futurs i opcions sobre bestiar en viu es requereix conèixer les implicacions que comporten i, a més a més, els condicionants de l'entorn per determinar la ...

    Influencia de las nuevas tecnologías en la gestión del conocimiento y su contribución a la innovación en el sector bancario : implicaciones en un grupo financiero en el periodo (2006-15) 

    Planuch Prats, Carles (Date of defense: 2019-04-03)

    Knowledge constitutes one of the key intangible assets for organizations. However, the mere possession of knowledge, however valuable it may be, does not necessarily imply obtaining a competitive advantage. It is necessary ...

    La curva híbrida de riesgo : análisis retrospectivo y prospectivo del riesgo por fenómenos naturales 

    Velásquez Villada, César Augusto (Date of defense: 2016-02-01)

    The natural hazard risk is a contingent liability and, thus, a sovereign risk for national governments and, therefore, it is important to assess properly the potential losses in order to design suitable policies and ...

    La rentabilidad de los bancos comerciales y el ambiente macroeconómico : el caso peruano en el período 1982-2014 

    Adrianzen Cabrera, .Carlos Manuel (Date of defense: 2016-07-06)

    This research explores on what degree the macroeconomic climate influenced the commercial banks profitability in an emerging economy, on the basis commercial banks and the peruvian economy quartely data, over a long period ...

    Modelo de captación y administración de remesas para generar ahorro e inversión : el caso mexicano 

    Ponce García, Maria Elena Laura (Date of defense: 2013-11-06)

    The thesis includes an overview of the e'.Ciution and current context for two international socioeconomic phenomena: migration and remittances of migrants to their country, its importance and impact on host economies in ...

    Rentabilidad y riesgo en el mercado bursátil mexicano 

    Lizola Margolis, Pedro Enrique (Date of defense: 2017-09-21)

    Terms like panic, turbulence, depreciation, collapse, transmission and contagion have been a common denominator in the headlines of the world¿s newspapers when the stock markets become unstable and react negatively to news. ...

    Sistema de evaluación y priorización de inversiones públicas 

    Boix Cots, David (Date of defense: 2023-12-15)

    (English) This doctoral thesis addresses one of the most significant challenges facing the Spanish administration: the efficient selection and management of public investments. To achieve this goal, the 'Public Investment ...

    Towards a better model for intangible asset valuation 

    Ajour El Zein, Samer (Date of defense: 2020-09-19)

    Context: Intangible assets have recently come under the spotlight because of their growing importance within the business world. Thus, Brand Equity, considered a strategic asset, makes up a substantial intangible asset for ...

    Understanding investor reaction to sustainability news in energy companies: fossil vs renewable vs nuclear, tone effects, and COVID-19 impacts through a multi-study approach using event study metholology 

    Barroso del Toro, Alberto (Date of defense: 2023-07-06)

    (English) This thesis provides empirical evidence, with an unprecedented sample size, that sustainability news moves the stock market, particularly positive news related to fossil fuels. The findings confirm that there is ...

    La vinculación entre los sectores financiero e inmobiliario 

    Arderiu Calvo, Amadeo (Date of defense: 2015-12-17)

    The link between financial and real estate sectors, sometimes excessive and others inadequate, is generated through its assets and in all the operations in which they intervene. Its study comprises finance of mortgage-backed ...