Universidad Nacional de Educación a Distancia - UNED
MARIANO GONZALEZ SANCHEZ
PROFESOR TITULAR UNIVERSIDAD
ECONOMÍA DE LA EMPRESA Y CONTABILIDAD
FAC.CIENCIAS ECONÓMICAS Y EMPRESARIALES
1992. Degree in Economics and Business Administration from the Universidad Complutense de Madrid.
1998. PhD in Economics and Business Administration from Universidad San Pablo CEU. Extraordinary Doctoral Thesis Award.
2009. Accredited Contratado Doctor by ANECA.
2012. Accredited Tenure Professor of University by ANECA.
2 Six-years period recognized by CNEAI (Commission 08 of Economics and Business): 2007-2012 and 20013-2018.
Academic positions held
- Collaborating Professor. San Pablo CEU University College. 1993-1995.
- Collaborating Professor. Ramón Carande" University College (currently URJC). 1993-1995.
- Associate Professor. CEES (now UEM). 1993-1994.
- Associate Professor. University of Castilla La Mancha. 2012-2013.
- Adjunct Professor. San Pablo CEU University. 1995-2008.
- Adjunct Professor. Cardenal Herrera CEU University. 2009-2013.
- Associate Professor. Cardenal Herrera CEU University. 2014 -2016.
- Tenure Professor. San Pablo CEU University. 2016-2019.
- Assistant Professor Doctor. UNED. 2019-2022.
- Tenure Professor. UNED. 2022-.
RESEARCH INTERESTS: Financial accounting; Financial analysis; Business risk; Asset pricing.
Founding Member of the Risk Management Club of Spain. 1998.
Secretary of the Governing Council of the Risk Management Club of Spain. 1998-2000.
Managing Partner of Alpha Quantica, S.L. 2009-2019.
Educational management experience
Secretary, Department of Financial Economics and Accounting. San Pablo University. 1997-1998.
Director of the Department of Financial Economics and Accounting. San Pablo University. 1998-1999.
Director of the Advanced Auditing Course. San Pablo University. 1998-2000.
Director of the Departmental Accounting Section. 2000-2008.
Director of Higher Accounting Teaching Unit. San Pablo University. 2005-2008.
Director of Economics and Business Department. Cardenal Herrera University. 2009-2010.
Member of the Doctoral and Research Commission. Cardenal Herrera University. 2009-2010.
Member of the Governing Council of Cardenal Herrera University. 2009-2010.
Member of the Board of Faculty of Law, Business and Politics. Cardenal Herrera University. 2009-2010.
Head of the Economics and Finance line of the Doctoral Program in Law and Economics. Doctoral School of San Pablo University. 2016-2019.
Representative of tenured professors on the Board of the Faculty of CC. EE. and Business Administration. San Pablo University. 2016-2018.
Director of the Master's Degree in Actuarial Sciences. San Pablo University. 2017-2019.
Asignaturas de Grado:
- 65023093 - CONTABILIDAD DE COSTES
- 65024017 - TRABAJO FIN DE GRADO (ADE)
- 65022082 - CONTABILIDAD FINANCIERA SUPERIOR
PROYECTOS DE INVESTIGACIÓN
- PID2020-114563GB-I00. Ministerio de Ciencia e Innovación. Agencia Estatal de Investigación Empirical finance
Nº of recognized sections of research activity2 quinquenniums
PUBLICATIONS IN MAGAZINES
González-Sánchez, M., Ibáñez Jiménez, E. M. and Segovia San Juan, A. I. (2022). Market and model risks: a feasible joint estimate methodology. Risk Management. 24(2): 22-37.
González Sánchez, M. (2022). Term Structure of Risk Factor Premiums Used for Pricing Asset: Emerging vs. Developed Markets. Emerging Markets Finance and Trade, 58(5): 1339-1358.
Gonzalez Sanchez, M. (2022). Factorial asset pricing models using statistical anomalies. Research in International Business and Finance, 53: 101236.
Gonzalez Sanchez, M. (2021). The influence of Google search index on stock markets: an analysis of causality in-mean and variance. Review of Behavioral Finance, 13(2): 202-226.
Fullana, O.; González Sánchez, M. and Toscano, D. (2021). The role of assumptions in Ohlson model performance: Lessons for improving equity-value. Mathematics, 9(5): 513.
González Sánchez, M. (2021) Is there a relationship between the time scaling property of asset returns and the outliers? Evidence from international financial markets. Finance Research Letters, 38: 101510.
González Sánchez, M. and Morales de Vega, M. E. (2021). Influence of Bloomberg’s Investor Sentiment Index: Evidence from European Union Financial Sector. Mathematics, 9(4): 297.
González Sánchez, M.: Nave, J. and Rubio, G. (2020). Effects of uncertainty and risk aversion on the exposure of investment-style factor returns to real activity. Research in International Business and Finance, 53: 101236.
González Sánchez, M. and Martín Ortega, J. L. (2020). Greenhouse Gas Emissions Growth in Europe: A Comparative Analysis of Determinants. Sustainability, 12: 1012.
Fullana, O.; González Sánchez, M. and Toscano, D. (2019). The Effects of IFRS Adoption on the Unconditional Conservatism of Spanish Listed Companies. Australian Accounting Review, 29(1): 193-207.
González Sánchez, M. (2018). Causality in the EMU sovereign bond markets. Finance Research Letters, 26: 281-290.
González Sánchez, M. and Morales Mª Encina (2018). Corporate reputation and firms' performance: Evidence from Spain. Corporate Social Responsibility and Environmental Management, 25: 1231-1245.
- PUBLICACIONES EN LÍNEA Ir a Google Scholar