Glòria M. Barberà-Mariné

Orcid: 0000-0003-2578-1301

Affiliations:
  • Rovira i Virgili University, Reus, Spain


According to our database1, Glòria M. Barberà-Mariné authored at least 7 papers between 2003 and 2020.

Collaborative distances:
  • Dijkstra number2 of five.
  • Erdős number3 of five.

Timeline

Legend:

Book 
In proceedings 
Article 
PhD thesis 
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Bibliography

2020
Classifying Spanish mutual funds according to their survival capacity using SOM.
J. Intell. Fuzzy Syst., 2020

2018
Analysis of Fuzzy Beta Coefficients. Evidence from the Mexican Stock Market.
Int. J. Uncertain. Fuzziness Knowl. Based Syst., 2018

2016
Mutual Funds Survival in Spain Using Self-Organizing Maps.
Proceedings of the Modeling and Simulation in Engineering, Economics and Management, 2016

2015
A new index for bond management in an uncertain environment.
Fuzzy Sets Syst., 2015

2014
Stability of beta coefficients of sector and subsector portfolios in an uncertain environment.
Comput. Sci. Inf. Syst., 2014

2013
Sovereign Bond Spreads Evolution in Latin American Countries.
Proceedings of the Modeling and Simulation in Engineering, Economics, and Management, 2013

2003
Using Fuzzy Set Theory to Analyse Investments and Select Portfolios of Tangible Investments in Uncertain Environments.
Int. J. Uncertain. Fuzziness Knowl. Based Syst., 2003


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