Dependence in the Banking Sector of the United States and Mexico: a Copula Approach
Christian Bucio Pacheco, Luis Villanueva, Raúl de Jesús Gutiérrez
Contagio en la volatilidad entre los mercados de capital y de divisas en México y Brasil (2000-2020)
Jorge Mario López, Miriam Sosa Castro
Asymmetric Volatility Relevance in Risk Management: an Empirical Analysis using Stock Index Futures
Guillermo Benavides
Discretion in the application of the goodwill impairment test in European banks
Jorge Pallarés Sanchidrián, Antonio Javier Pérez García, José Antonio Gonzalo Angulo
Strategies in Retirement Fund Selection in the Mexican Retirement Market 1997-2018
Luis Raúl Rodríguez Reyes, Angel Samaniego, Mireya Pasillas
Comparison of Statistical Underlying Systematic Risk Factors and Betas Driving Returns on Equities
Rogelio Ladrón de Guevara Cortés, Salvador Torra Porras, Enric Monte
Fuzzy Portfolio Selection with Sugeno Type Fuzzy Neural Network: investing in the Mexican Stock Market
Judith Jazmin Castro Pérez, José Eduardo Medina Reyes
FinTech’s business model in Mexico, a preliminary analysis
Luz del Carmen Díaz Peña