José Antonio Núñez

at EGADE Business School

Schools

  • EGADE Business School

Links

Biography

EGADE Business School

Professor Núñez Mora’s research and teaching focuses on the field of financial risk. As a researcher, he actively participates in the publication of articles in different national and international journals, books, and book chapters.

Professor Núñez Mora is a member of the SNI (Sistema Nacional de Investigadores, Level II, Conacyt. He is Director of the EGADE Business School’s Journal of Administration, Finance, and Economics and he has directed 10 theses in the last five years for students of the Ph.D in Financial Sciences program.

In addition to his teaching activity at EGADE, Professor Núñez has been the Director of the Ph.D. in Management Sciences. He has also carried out consultancy in Tecnológico de Monterrey, Mexico City Campus, in topics related to the macro-economic impact of pension reforms in Mexico

EDUCATION

  • Ph.D. in Administration with a focus on Finance
    • Tecnológico de Monterrey
  • Master in Economics
    • Colegio de México

AWARDS & HONORS

Sistema Nacional de Investigadores, level 2

SELECTED PUBLICATIONS

  • Santillán-Salgado, RJ; Núñez-Mora JA; Escobar-Saldivara, LJ (2019) "Exchange rate exposure of Latin American firms: Empirical evidence". Journal of Multinational Financial Management, 51, 80-97
  • Núñez Mora, JA. (2018) Relationship between Exports and the BRICS Countries’ Gross Domestic Product: A Bayesian Vector Autoregression Approach in Business Governance and SocietyAnalyzing Shifts. Springer International Publishing.
  • Matriz de covarianza bajo la familia hiperbólica generalizada y la construcción de portafolios. Revista de Contaduría y Administración, Vol.3, 2016 (Scopus)
  • Dependence between the Chinese and MILA stock markets, Journal of Chinese Economics and Trade,2016 December (Scopus)
  • Efficient portfolios and the generalized hyperbolic distribution,Economics Bulletin,37(4) , 2017,(Scopus)
  • Desempeño de un Conjunto de Estrategias Cambiarias,Revista Mexicana de Economía y Finanzas, (REMEF), Nueva época , Volumen 13 Número 2 , Abril – Junio 2018
  • Underlying Assets Distribution in Derivatives: The BRIC Case February 2018.

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