Publications (74) MARIA DEL MAR ARENAS PARRA publications

2022

  1. An extended best–worst multiple reference point method: application in the assessment of non-life insurance companies

    Operational Research, Vol. 22, Núm. 5, pp. 5323-5362

  2. Evidence for round number effects in cryptocurrencies prices

    Finance Research Letters, Vol. 47

  3. Impacto del COVID-19 en la eficiencia de fondos de inversión

    Rect@: Revista Electrónica de Comunicaciones y Trabajos de ASEPUMA, Vol. 23, Núm. 2, pp. 137-161

  4. Opinion Mining of Green Energy Sentiment: A Russia-Ukraine Conflict Analysis

    Mathematics, Vol. 10, Núm. 14

  5. Scientific Development of Robo-Advisor: A Bibliometric Analysis

    Review of Economics and Finance, Vol. 20, pp. 776-786

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

2020

  1. CSR disclosure: The IPO case

    Sustainability (Switzerland), Vol. 12, Núm. 11

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

2016

  1. A group decision making model based on goal programming with fuzzy hierarchy: an application to regional forest planning

    Annals of Operations Research, Vol. 245, Núm. 1-2, pp. 137-162

  2. A model based on Copula Theory for sustainable and social responsible investments

    Revista de contabilidad = Spanish accounting review: [RC-SAR], Vol. 19, Núm. 1, pp. 55-76