Gabriel De La
Fuente Herrero
Publicacions (56) Publicacions de Gabriel De La Fuente Herrero
2024
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Beneath the surface: The asymmetric effects of unconventional monetary policy on corporate investment
Finance Research Letters, Vol. 61
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From dawn to dusk: The relationship between CEO career horizon and ESG engagement
International Review of Financial Analysis, Vol. 93
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Pretending to be sustainable: Is ESG disparity a symptom?
Journal of Contemporary Accounting and Economics, Vol. 20, Núm. 2
2023
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Does gamification mediate the relationship between digital social capital and student Performance? A survey-based study in Spain
International Journal of Management Education, Vol. 21, Núm. 3
2022
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Bank debt signalling and corporate sustainability: Does incongruence blur the message?
Finance Research Letters, Vol. 46
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The impact of economic policy uncertainty and monetary policy on R&D investment: An option pricing approach
Economics Letters, Vol. 214
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The value of a firm's engagement in ESG practices: Are we looking at the right side?
Long Range Planning, Vol. 55, Núm. 4
2021
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Exercising a firm's growth options: A portfolio approach
Journal of Business Research, Vol. 132, pp. 571-585
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Monetary policy and corporate investment: A panel-data analysis of transmission mechanisms in contexts of high uncertainty
International Review of Economics and Finance, Vol. 75, pp. 609-624
2020
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Capital structure and corporate diversification: Is debt a panacea for the diversification discount?
Journal of Banking and Finance, Vol. 111
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The demand for Divisia money in the United States: evidence from the CFS Divisia M3 aggregate
Applied Economics Letters, Vol. 27, Núm. 1, pp. 41-45
2019
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The drivers of Bitcoin demand: A short and long-run analysis
International Review of Financial Analysis, Vol. 62, pp. 21-34
2018
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Capital structure decisions: What Spanish CFOs think
Academia Revista Latinoamericana de Administracion, Vol. 31, Núm. 2, pp. 306-325
2017
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Diversification, relatedness and growth options value: Beyond a linear relationship
Long Range Planning, Vol. 50, Núm. 6, pp. 840-861
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Does it really matter how a firm diversifies? Assets-in-place diversification versus growth options diversification
Journal of Corporate Finance, Vol. 43, pp. 316-339
2016
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Are real options a missing piece in the diversification-value puzzle?
International Review of Financial Analysis, Vol. 48, pp. 261-271
2015
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Capital budgeting practices in Spain
Business Research Quarterly, Vol. 18, Núm. 1, pp. 37-56
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The effect of the financial crisis on the value of corporate diversification in Spanish firms
Revista española de financiación y contabilidad, Vol. 44, Núm. 1, pp. 1-23
2014
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Growth opportunities and the effect of corporate diversification on value
The Spanish Review of Financial Economics, Vol. 12, Núm. 2, pp. 72-81
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What do you do when the binomial cannot value real options? The LSM model
Cogent Economics and Finance, Vol. 2, Núm. 1