Autor

Nome:
Sofia Ramos
Habilitações:
Doutoramento: U Lausanne, Finance, 2003
Mestrado: ISCTE, Finance, 1997
Licenciatura: ISCTE, Business Administration, 1994
e-mail:
ramos@essec.edu
URL:
http://www.essec.edu/en/staff/faculty/sofia-ramos
Ideas:
http://ideas.repec.org/f/pra296.html
Researcher id:
http://www.researcherid.com/rid/B-6077-2009
Artigos 19:
Ranking: CEF.UP+NIPE (average of all rankings) (2012).

Limited Attention, Salience of Information and Stock Market Activity 8.79
Sofia Ramos, Pedro Latoeiro, Helena Veiga
Economic Modelling, vol. 87, 2020, p. 92-108.

Uncertainty Avoidance and Mutual Funds 7.19
Aneel Keswani, Mamdouh Medhat , António F. Miguel, Sofia Ramos
Journal of Corporate Finance, vol. 65, 2020, p. .

What Determines Fund Performance Persistence? International Evidence 5.27
Miguel Almeida Ferreira, Aneel Keswani, António F. Miguel, Sofia Ramos
Financial Review, vol. 54, 2019, p. 679-708.

The Cyclical Behaviour of Commodities 5.97
Marcelo Pereira, Sofia Ramos, José Gonçalves Dias
European Journal Of Finance, vol. 23, 2017, p. 1107-1128.

Banking Industry Performance in the Wake of the Global Financial Crisis 5.08
Diptes C. Bhimjee, Sofia Ramos, José Gonçalves Dias
International Review Of Financial Analysis, vol. 48, 2016, p. 376-387.

An Analysis of Industry Regimes Synchronization in the Eurozone 15.64
José Gonçalves Dias, Sofia Ramos
Journal of Common Market Studies, vol. 53, 2015, p. 255-273.

Correlations between Oil and Stock Markets: A Wavelet-Based Approach 8.79
Belen Martin-Barragan, Sofia Ramos, Helena Veiga
Economic Modelling, vol. 50, 2015, p. 212-227.

Heterogeneous Price Dynamics in U.S. Regional Electricity Markets 16.12
José Gonçalves Dias, Sofia Ramos
Energy Economics, vol. 46, 2014, p. 453-463.

The Aftermath of the Subprime Crisis: A Clustering Analysis of World Banking Sector 9.31
José Gonçalves Dias, Sofia Ramos
Review Of Quantitative Finance And Accounting, vol. 42, 2014, p. 293-308.

A Core-Periphery Framework in Stock Markets of the Euro Zone 13.19
José Gonçalves Dias, Sofia Ramos
Economic Modelling, vol. 35, 2013, p. 320-329.

Oil Price Asymmetric Effects: Answering the Puzzle in International Stock Markets 16.12
Sofia Ramos, Helena Veiga
Energy Economics, vol. 38, 2013, p. 136-145.

The Determinants of Mutual Fund Performance: A Cross-Country Study 6.14
Miguel Almeida Ferreira, António F. Miguel, Sofia Ramos, Aneel Keswani
Review Of Finance, vol. 17, 2013, p. 483-525.

The Flow-Performance Relationship around the World 9.39
Miguel Almeida Ferreira, Sofia Ramos, Aneel Keswani, António F. Miguel
Journal of Banking and Finance, vol. 36, 2012, p. 1759-1780.

Risk Factors in Oil and Gas Industry Returns: International Evidence 16.12
Sofia Ramos, Helena Veiga
Energy Economics, vol. 33, 2011, p. 525-542.

When Markets Fall Down: Are Emerging Markets All the Same? 8.05
Sofia Ramos, Jeroen K. Vermunt, José Gonçalves Dias
International Journal Of Finance And Economics, vol. 16, 2011, p. 324-338.

Competition and Stock Market Development 17.91
Sofia Ramos
European Journal Of Finance, vol. 15, 2009, p. 231-247.

The Size and Structure of the World Mutual Fund Industry 22.08
Sofia Ramos
European Financial Management, vol. 15, 2009, p. 145-180.

Stock Exchange Competition in a Simple Model of Capital Market Equilibrium 14.57
Sofia Ramos, Ernst-Ludwig von Thadden
Journal Of Financial Markets, vol. 11, 2008, p. 284-307.

Geographic versus Industry Diversification: Constraints Matter 15.79
Paul Ehling, Sofia Ramos
Journal Of Empirical Finance, vol. 13, 2006, p. 396-416.

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