Details about Fernando Garcia Garcia
Access statistics for papers by Fernando Garcia Garcia.
Last updated 2024-01-24. Update your information in the RePEc Author Service.
Short-id: pga1304
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Working Papers
2020
- Leading research trends on trading strategies
(Tendencias líderes de investigación sobre estrategias de trading)
Post-Print, HAL
Journal Articles
2022
- What is the cost of maximizing ESG performance in the portfolio selection strategy? The case of The Dow Jones Index average stocks
Entrepreneurship and Sustainability Issues, 2022, 9, (4), 178-192 View citations (5)
2021
- A Multicriteria Goal Programming Model for Ranking Universities
Mathematics, 2021, 9, (5), 1-17 View citations (1)
- Ranking the Performance of Universities: The Role of Sustainability
Sustainability, 2021, 13, (23), 1-16 View citations (4)
2020
- A multiobjective credibilistic portfolio selection model. Empirical study in the Latin American integrated market
Entrepreneurship and Sustainability Issues, 2020, 8, (2), 1027-1046 View citations (1)
- Forecasting the Environmental, Social, and Governance Rating of Firms by Using Corporate Financial Performance Variables: A Rough Set Approach
Sustainability, 2020, 12, (8), 1-18 View citations (18)
2019
- Defining socially responsible companies according to retail investors’ preferences
Entrepreneurship and Sustainability Issues, 2019, 7, (2), 1641-1653 View citations (4)
- Negative screening and sustainable portfolio diversification
Entrepreneurship and Sustainability Issues, 2019, 6, (4), 1566-1586 View citations (8)
- Selecting Socially Responsible Portfolios: A Fuzzy Multicriteria Approach
Sustainability, 2019, 11, (9), 1-14 View citations (13)
- The Inclusion of Socially Irresponsible Companies in Sustainable Stock Indices
Sustainability, 2019, 11, (7), 1-14 View citations (14)
2015
- Una aproximación a la inclusión financiera y a los determinantes de la disponibilidad de los servicios bancarios en la provincia de Córdoba
Ensayos de Política Económica, 2015, 2, (3), 10-49
2013
- A multiobjective model for passive portfolio management: an application on the S&P 100 index
Journal of Business Economics and Management, 2013, 14, (4), 758-775 View citations (1)
- Monitoring credit risk in the social economy sector by means of a binary goal programming model
Service Business, 2013, 7, (3), 483-495 View citations (2)
2012
- Credit Risk Analysis: Reflections on the Use of the Logit Model
Journal of Applied Finance & Banking, 2012, 2, (6), 1 View citations (2)
2009
- EFECTO DE LAS NIIF EN EL VALOR BURSÁTIL DE LAS EMPRESAS ESPAÑOLAS / THE IMPACT OF THE IFRS ON THE MARKET VALUE OF SPANISH FIRMS
Investigaciones Europeas de Dirección y Economía de la Empresa (IEDEE), 2009, 15, (1), 61-79
2008
- La valoracion de empresas agroalimentarias: una extension de los modelos factoriales
Revista Espanola de Estudios Agrosociales y Pesqueros, 2008, (217), 28
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