SPANISH JOURNAL OF FINANCE AND ACCOUNTING Vol. XXXIX - No 147 Julio - Septiembre 2010
PAPERS:
1) Francisco Bravo Urquiza, María Cristina Abad Navarro and Marco Trombetta - Disclosure theories and disclosure measures. Discussion, by Juan Manuel García Lara
2) J. Samuel Baixauli-Soler, Eva Alfaro-Cid and Matilde O. Fernández Blanco. - Several risk measures in portfolio selection: Is it wothwhile?.
3) Isabel Abinzano, Luis Muga and Rafael Santamaría - Is the momentum effect exclusive of high default risk firms?. Discussion, by Esther B. del Brío González
4) Teresa García Valderrama, Daniel Revuelta Bordoy and Eva Mulero Mendigorri - Dessing and validation of a general Balanced Scorecard (BSC) model for research and development (R&D) activities: Empirical Evidence in Spanish chemical firms.
5) Félix J. López Iturriaga and César Zarza Herranz - Corporate governance and determinants of auditor rotation in large Spanish firms.
TECHNICAL NOTES:
A note on "Professional skills development in financial auditing students: evaluation of an experience between universities of Spain and Mexico", by Javier Montoya del Corte and Gabriela María Farías Martínez.