Publications (89) AMELIA MARIA BILBAO TEROL publications

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2025

  1. A proposal for refining the ESG methodology used by rating agencies

    International Transactions in Operational Research, Vol. 32, Núm. 4, pp. 2003-2033

  2. Evaluating Energy Security using Choquet Integral: analysis in the southern E.U. countries

    Annals of Operations Research, Vol. 355, Núm. 1, pp. 721-763

2024

  1. BL-LSTM approach for sustainable portfolio optimization: A water market case study

    Proceedings of the International Workshop Accounting and Taxation (IWAT2024) 12th of April 2024 Porto, Portugal

  2. Evaluando la Seguridad Energética mediante la integral de Choquet. Un análisis en los países del sur de la U.E

    Resúmenes de la XV Reunión del Grupo Español de Decisión Multicriterio (Servicio de Publicaciones), pp. 13-15

  3. Is investing in the renewable energy stock market both financially and ESG efficient? A COVID-19 pandemic analysis

    Review of Managerial Science, Vol. 18, Núm. 7, pp. 1885-1916

  4. Machine Learning for Sustainable Portfolio Optimization Applied to a Water Market †

    Mathematics, Vol. 12, Núm. 24

  5. The Choquet integral supported by a hedonic approach for modelling preferences in hotel selection

    Omega (United Kingdom), Vol. 122

2023

  1. An ESG assessment of companies based on ordinal proximity measures and extended best worst method

    MCDA-96. 96th Meeting of the EWG-MCDA. September 21-23, 2023 Paris, France

  2. Introducing non-uniform qualitative scale into a group extended best-worst method

    MCDA-96. 96th Meeting of the EWG-MCDA. September 21-23, 2023 Paris, France

  3. Measuring the overall efficiency of SRI and conventional mutual funds by a diversification-consistent DEA model

    International Transactions in Operational Research, Vol. 30, Núm. 5, pp. 2224-2256

2021

  1. Incorporating preferential weights as a benchmark into a Sequential Reference Point Method

    European Journal of Operational Research, Vol. 291, Núm. 2, pp. 575-585

2019

  1. Integrating corporate social responsibility and financial performance

    Management Decision, Vol. 57, Núm. 2, pp. 324-348

  2. Measuring regional sustainable competitiveness: a multi-criteria approach

    Operational Research, Vol. 19, Núm. 3, pp. 637-660

2018

  1. A model for solving incompatible fuzzy goal programming: an application to portfolio selection

    International Transactions in Operational Research, Vol. 25, Núm. 3, pp. 887-912

  2. Fuzzy Multi-criteria Support for Sustainable and Social Responsible Investments: The Case of Investors with Loss Aversion

    Studies in Systems, Decision and Control (Springer International Publishing), pp. 555-564

  3. Multi-criteria analysis of the GRI sustainability reports: an application to Socially Responsible Investment

    Journal of the Operational Research Society, Vol. 69, Núm. 10, pp. 1576-1598

2017

  1. Hedonic evaluation of the SRI label of mutual funds using matching methodology

    International Review of Financial Analysis, Vol. 52, pp. 213-227

  2. ¿Qué es "lo mejor"?

    Servicio de Publicaciones