A) Contratación mercantil y bancaria
- Goode, R., Commercial Law, 4th Edition, Penguin, 2010.
- Goode, R. and Gullifer, L., Legal Problems of Credit and Security, 4th Edition, Sweet & Maxwell, 2013.
- Rodríguez Azuero, S., Contratos Bancarios: Su significación en América Latina, 6ª Edición, Legis, Colombia, 2009.
- Rodríguez Azuero, S., Negocios Fiduciarios: Su significación en América Latina, 1ª Edición, Legis, 2005:
- Schwartz, A. and Scott, R., Commercial Law: Principles and Policies, Foundation Press, 2nd Edition, 1991.
- Triantis, G. and Scott, R., Foundations of Commercial Law, Foundation Press, 2009.
B) Derecho concursal
- Adler, B., Foundations of Bankruptcy Law, Foundation Press, 2005.
- Adler, B., “A Theory of Corporate Insolvency” (1997) 72 New York University Law Review 343.
- Adler, B., Baird, D. and Jackson, T., Bankuptcy: Cases, Problems and Materials, Foundation Press, 2007.
- Adler, B., Capkun, V., and Weis, L., “Theory and Evidence on the Bankruptcy Initiation Problem” (2005), NYU Working Paper Series.
- Acharya, V., Sundaram, R. and John, K., “Cross-Country Variations in Capital Structures the Role of Bankruptcy Codes” (2008), AFA 2005 Philadelphia Meetings; Tuck Contemporary Corporate Finance Issues III Conference Paper, December.
- Armour, J., “The Law and Economics of Corporate Insolvency: A Review” (2001) Working Paper, ESCR Centre for Business Research, University of Cambridge, Working Paper No. 197.
- Armour/Benett (eds.), Vulnerable Transactions in Corporate Insolvency, Hart Publishing, 2003.
- Armour, J., Cheffins, B., and Skeel Jr., D., “Corporate ownership structure and the evolution of bankruptcy law in the US and UK” (2002), CBR Working Paper 226.
- Armour, J. and Cumming, D., “Bankruptcy Law and Entrepreneurship” (2008) American Law and Economics Review, Vol. 10, No 2.
- Ayotte, K., and Yun, H., “Matching Bankruptcy Laws to Legal Environments” (2007) The Journal of Law, Economics, & Organization, Vol. 25, No. 1.
- Baird, D., Elements of Bankruptcy, 5th Edition, Foundation Press, 2010.
- Baird, D., “Bankruptcy’s Uncontested Axioms” (1998) 108 The Yale Law Journal 573.
- Baird, D., “The Uneasy Case for Corporate Reorganizations” (1986) 15 Journal of Legal Studies 127.
- Baird, D., “The initiation problem in bankruptcy” (1991) 11 International Review of Law and Economics 229.
- Baird, D. and Jackson, T., “Corporate Reorganizations and the Treatment of Diverse Ownership Interests: A Comment on Adequate Protection of Secured Creditors in Bankruptcy” (1984), 51 University of Chicago Law Review 97.
- Bebchuk, L., “A New Approach to Corporate Reorganizations” (1988), 110 Harvard Law Review 775.
- Bebchuk, L. and Fried, J., “The Uneasy Case for the Priority of Secured Claims in Bankruptcy: Further Thoughts and a Reply to Critics” (1997) 82 Cornell Law Review 1279.
- Bhandari/Weiss (eds.), Corporate Bankruptcy: Economic and Legal Perspectives, Cambridge University Press, 1996.
- Dasso, A., Derecho Concursal Comparado, Legis, Buenos Aires, 2012.
- Davies, P., Directors’ Creditor-Regarding Duties in Respect of Trading Decisions Taken in the Vicinity of Insolvency, European Business Organization Law Review, 2006, pp 301-337.
- Davydenko, S. and Franks, J. “Do Bankruptcy Codes Matter? A Study of Default in France, Germany, and the U.K.” (2008), The Journal of Finance, Vol. LXIII, 2.
- Djankov, S., Hart, O., McLiesh, C., and Shleifer, A., “Debt Enforcement around the World” (2008) Journal of Political Economy, Vol. 116, 6.
- Garrido, J.M., Tratado de las preferencias del crédito, Civitas, 2000.
- Goode, R., Principles of Corporate Insolvency Law, 4th Edition, Sweet & Maxwell, 2011.
- Hynes, R., Why (consumer) bankruptcy?, 56 Alabama Law Review 122, 2004.
- Jackson, T., “Bankruptcy, Non-Bankruptcy Entitlements, and The Creditors’ Bargain” (1982), 91 Yale Law Journal 857.
- Lastra, R., Cross-Border Bank Insolvency, Oxford University Press, 2011.
- Jackson, T., The Logic and Limits of Bankruptcy Law, Harvard University Press, 1986.
- Mokal, R., Corporate Insolvency Law: Theory and Application, Oxford University Press, 2005.
- Morrison, E. (ed.), Economics of Bankruptcy, Edward Elgar Press, 2012.
- Rasmussen, R., “Debtor’s Choice: A Menu Approach to Corporate Bankruptcy” (1992) 71 Texas Law Review 51.
- Roe, M., Corporate Reorganization and Bankruptcy: Legal and Financial Materials, Foundation Press, 2011.
- Roe, M. “Bankruptcy and Debt: A New Model for Corporate Reorganizations”, 80 Columbia Law Review, 1983.
- Rouillón, A. (dir.), Derecho concursal, La Ley, 2004.
- Rouillón, A., Cooperación judicial en concursos transfronterizos, V Congreso Iberoamericano de Derecho Concursal, Mendoza, 2009.
- Schwartz, A., “A Normative Theory of Business Bankruptcy” (2005) 91 Virginia Law Review 1203.
- Schwartz, A., “Contracting About Bankruptcy” (1997) 13 Journal of Law, Economics & Organization 127.
- Skeel, D., Warren, W. and Bussel, D., Bankruptcy, Foundation Press, 2012.
- Skeel, D., Debt’s Dominion: A History of Bankruptcy Law in America, Princeton, 2001.
- Skeel, D. and Ayotte, K., Bankruptcy or bailout?, Journal of Corporation Law, Vol. 35, p. 469, 2010.
- Sotomonte, D., “Insolvencia transfronteriza: evolución y estado de la materia”, Universidad Externado, Bogotá, 2009
- Suárez, J. and Sussman, O., “Financial distress, bankruptcy Law and the business cycle” (2007), Annals of Finance 3 (1), 2007.
- Tirado, I., Los administradores concursales, Civitas, 2005.
- Virgós, M. y Garcimartín, F., Comentario al Reglamento Europeo de Insolvencia, Thomson-Civitas, 2014.
- Warren, E., “Bankruptcy Policy” (1987) 54 University of Chicago Law Review 795.
- Warren, E. and Westbrrok, Financial Characteristics of Businesses in Bankruptcy, American Bankruptcy Law Journal, 2000.
- Warren, E. and Westbrook, J., Porter, K. and Pottow, J.,, The Law of Debtors and Creditors, 7th edition, Aspen, 2014.
- Westbrook, J., Booth, D., Paulus, C. and Harry Rajak, H., A Global View of Business Insolvency Systems, Martinus Nijhoff, Washington DC, 2010.
- Paul J. Omar and Jennifer L.L. Gant. Research Handbook on Corporate Restructuring. EE Publishing, 2021.
- Kokorin, I and Wessels, B. Cross-border protocols in insolvencies of multinational enterprise groups. EE publishing, 2021.
C) Derecho contable
- Arruñada, B., La calidad de la auditoría: Incentivos privados y regulación, Marcial Pons, 1997, Madrid.
- Blanco Campaña, J., Régimen jurídico de la contabilidad de los empresarios, Madrid, 1980.
- Diez Echegaray, J.L. y Díaz-Echegaray López, J.L., Manual de Derecho Mercantil Contable, Aranzadi, 2009.
- Dorait W., Fleckner, A., Hopt, K., Kumpan, C., Steffek, F., Zimmermann, R., Helgart, A., Augenhofer, S., “Auditor Independence at the Crossroad: Regulation and Incentives” (2012), European Business Organization Law Review, Volume 13, Issue 1, pp. 89-101.
- Favier Dubois, E,M.(p)/Favier Dubois, E.M. (h), Nuevos aportes al Derecho contable, Errepar, 2011.
- Garreta Such, J.M., Introducción al Derecho contable, Marcia Pons, Madrid, 1995.
- Gonzalo Angulo, J.A., El camino hacia la convergencia: comparación y análisis crítico entre la normativa contable internacional (NIC/NIIF) y la estadounidense, Edifoser, 2013.
- Gurrea Martínez, A., Contabilidad para juristas, Tirant lo Blanch, Valencia, 2012.
- Paz-Ares, C., La Ley, el mercado y la independencia del auditor, Civitas, 1996.
- Petit Lavall, M.V., Régimen jurídico de la auditoría de cuentas, Instituto de Contabilidad y Auditoría de Cuentas, Madrid, 1994.
D) Derecho de sociedades
- Armour, J., “Who Should Make Corporate Law? EC Legislation versus Regulatory Competition” (2005), ECGI Law Working Paper 54/2005
- Armour, J., “Legal capital: An outdated concept?” (2006), Centre for Business Research, University of Cambridge, Working Paper No 320.
- Armour, A. and Cheffins, B., “The Past, Present and Future of Shareholder Activism by Hedge Funds” (2012), Journal of Corporation Law, University of Cambridge Faculty of Law Research Paper No. 38/2011
- Armour, A. and Cheffins, B., The Origins of the Market for Corporate Control, ECGI – Law Working Paper No. 226/2013
- Armour/McCahery (eds.), After Enron: Improving Corporate Law and Modernising Securities Regulation in Europe and the US, Hart Publishing, Oxford, 2006.
- Armour, J., Davies, P., Enriques, L., Hansmann, H., Hertig, G., Hopt, K., Kanda, H., Kraakman, K., Rock, E., The Anatomy of Corporate Law: A Comparative and Functional Approach, 2nd Edition, Oxford University Press, 2009.
- Bainbridge, S., Mergers and Acquisitions, Foundation Press, 2012
- Bebchuk, L., Cohen, A., Ferrel, A., “What Matters in Corporate Governance?” (2009) Review of Financial Studies, Vol. 22, No. 2, pp. 783-827.
- Bebchuk, L. and Fried, J., “Pay Without Performance: Overview of the Issues”, Journal of Corporation Law, Vol. 30, No. 4, pp. 647-673, 2005.
- Black, B., De Carvalho, A.G., Gorga, E., What Matters and for Which Firms for Corporate Governance in Emerging Markets? Evidence from Brazil (and Other BRIK Countries) (2012). 18 Journal of Corporate Finance 934-952, ECGI – Finance Working Paper No. 306/2011; Northwestern Law & Econ Research Paper No. 09-20; U of Texas Law, Law and Econ Research Paper No.
- Bratton, W. and McCahery, J., “Comparative Corporate Governance and the Theory of the Firm: The Case Against Global Reference” (1999), 28 Columbia Journal of Transnational Law 213.
- Cheffins, B., Company Law: Theory, Structure and Operation, Clarendon Press, 1997.
- Cheffins, B., Black, B., Klausner, M.,”Liability Risk for Outside Directors” (2005), European Financial Management Journal, Vol. 11, pp. 153-171.
- Clark, R., Corporate Law, Little Brown, 1986.
- Coffee, J., “Dispersed Ownership: the Theories, the Evidence, and the Enduring Tension Between ‘Lumpers’ and ‘Splitters’” (2010), ECGI Law Working Paper No. 144/2010.
- Coffee, J., Gatekeepers: The Role of the Professions and Corporate Governance, Oxford University Press, 2006.
- Coffee, J., Klein, W., and Partnoy, F., Business Organization and Finance: Legal and Economic Principles, 11th Edition, Foundation Press, 2010.
- Davies, P., Introduction to Company Law, 2th Edition, Clarendon Law Series, 2009.
- Davies, P. and Worthington, S., Gower and Davies’ Principles of Modern Company Law, 9th Edition, Sweet & Maxwell, 2012.
- Djankov, S., La Porta, R., Lopez-de-Silanes, F., and Shleifer, A., The Law and Economics of Self-Dealing, 88 Journal of Financial Economics 430, 2008.
- Dodd, E., “For Whom Corporate Managers Are Trustees: A Note” (1932) 45 Harvard Law Review 1365.
- Dyck, A and Zingales, L., . “Private benefits of control: an international comparison”, 59 Journal of Finance 537, 2004.
- Easterbrook, F. and Fischel, D., The Economic Structure of Corporate Law,Harvard University Press, 1991.
- Eidenmuller/Shon (eds.), The Law and Economics of Creditor Protection,Ingram Publisher Services, 2008.
- Engrácia Antunes, J., Liability of Corporate Groups: Autonomy and Control in Parent-Subsidiary Relationships in US, German and EU Law, Wolters Kluwer, 1994
- Enriques, L., “Do corporate law judges matter? Some evidence from Milan” (2002), European Business Organization Law Review, 3(4), pp. 756-821.
- Enriques, L., “Related Party Transactions: Policy Options and Real-World Challenges (With a Critique of the European Commission Proposal)”, European Corporate Governance Institute (ECGI) – Law Working Paper No. 267/2014 .
- Enriques, L. and Macey, J., “Creditors Versus Capital Formation: The Case Against the European Legal Capital Rules” (2001), 86 Cornell Law Review 1165.
- Enriques, L. and Volpin, P., “Corporate Governance Reforms in Continental Europe” (2007), Journal of Economic Perspectives”, Vol. 21, No. 1, pp. 117-140.
- Ferran, E., Principles of Corporate Finance Law, Oxford University Press, 2nd Edition, 2014.
- Gilson, R., “Controlling Shareholders and Corporate Governance: Complicating the Comparative Taxonomy” (2005), ECGI – Law Working Paper No. 49/2005.
- Gilson, R., and Black, B., “The Law and Finance of Corporate Acquisitions”, 2nd Edition, Foundations Press, 2007.
- Gilson, R. and Gordon, J., “The Agency Costs of Agency Capitalism Activist Investors and the Revaluation of Governance Rights” (2013) 113 Columbia Law Review 863.
- Grossman, S. and Hart, O. “Corporate Financial Structure and Managerial Incentives” (1982), in The Economics of Information and Uncertainty, 107-140.
- Gullifer, L. and Payne, J., Corporate Finance Law: Principles and Policy, Hart Publishing, 2011.
- Harris, M. and A. Raviv, “The Theory of Capital Structure” (1991), Journal of Finance, 56, 297-355.
- Hansmann, H., The Ownership of Enterprises, Harvard University Press, 1996.
- Hart, O., Firms, Contracts, and Financial Structure, Oxford University Press, 1995.
- Hopt/Wymeersch (eds.), Comparative Corporate Governance: Essays and Materials, De Gruyter, 1997.
- Hopt, K., “Modern Company Law Problems: A European Perspective”, OCDE, 2001.
- Hopt, K., “Groups of Companies – A Comparative Study on the Economics, Law and Regulation of Corporate Groups”, European Corporate Governance Institute (ECGI) – Law Working Paper No. 286/2015.
- Jensen, M. C., “Agency Costs of Free Cash How, Corporate Finance and Takeovers” (1986) 76 American Economic Review, 323.
- Jensen, M. and Meckling, W., “Theory of the Firm: Managerial Behavior, Agency Costs and Ownership Structure” (1976), 3 Journal of Financial Economics 305.
- Johnson, S., La Porta, R., López de Silanes, F., Shleifer, A., Tuneling, NBER Working Paper Series 7523, 2000.
- Kraakman, R. and Hansmann, H., “Toward Unlimited Shareholder Liability for Corporate Torts” (1991), 100 Yale Law ournal 1879.
- Kraakman, R. and Hansmann, H., “The Essential Role of Organizational Law” (2000) 110 Yale Law Journal 387.
- Kraakman, R. and Hansmann, H., “The End of History of Corporate Law” (2001), 89 Georgetown Law Journal 439.
- Kraakman, R. Hansmann, H. and Squire, R., “Law and the Rise of the Firm” (2006), 119 Harvard Law Review 1333.
- La Porta, R., López de Silanes, F., and Vishny, R., “Investor Protection and Corporate Governance” (2000), Journal of Financial Economics 58, 3.
- La Porta, R., Lopez de Silanes, F., Shleifer, A. Vishny, R., “Legal Determinants of External Finance” (1997), Journal of Finance 53, 1131.
- La Porta, R., Lopez de Silanes, F., Shleifer, A. and Vishny, R., “Corporate Ownership Around the World” (1999), Journal of Finance 54, 471.
- Macey, J., “Corporate Law and Corporate Governance: A Contractual Perspective” (1993), 18 The Journal of Corporation Law 185.
- Macey, J. and Miller, J., “Corporate Stakeholders: A Contractual Perspective” (1993), 43 University of Toronto Law Journal 401.
- Pargendler, M., State ownership and corporate governance, Fordham Law Review, Vol. 80, No. 6, 2012.
- Pargendler, M., Corporate governance in emerging markets, Oxford Handbook of Corporate Law and Governance (Jeffrey N. Gordon & Wolf-Georg Ringe eds.), Forthcoming Direito GV Research Paper Series n. 100 .
- Paz-Ares, C., Responsabilidad de los administradores y gobierno corporativo, Colegio de Registradores de la Propiedad y Mercantiles de España, 2000.
- Paz-Ares, C., “Directors’ duties and directors’ liabilities: A framework for the law reform in Latin America” (2002), OECD, The Third Meeting of the Latin American Corporate Governance Roundtable.
- Rajan, R. and Zingales, L., “What Do We Know about Capital Structure? Some Evidence from International Data” (1995), The Journal of Finance, Vol. L, No. 5., 1421-1460.
- Reyes Villamizar, F., “Corporate Governance in Latin America: A Functional Analysis”, University of Miami Inter-American Law Review, Vol. 39, No 2, 2008.
- Reyes Villamizar, F., Análisis Económico del Derecho Societario, 2ª Edición, Legis, Bogotá, 2013
- Reyes Villamizar, F., Derecho Societario en Estados Unidos y la Unión Europea, 4ª Edición, Legis, Bogotá, 2013.
- Roe, M., Political Determinants of Corporate Governance: Political Context, Corporate Impact, Oxford University Press, 2006.
- Romano, R., Foundations of Corporate Law, 2nd Edition, LexisNexis, 2010.
- Schleifer and Vinshy, “A Survey of Corporate Governance” (1997), The Journal of Finance, Volume 52, Issue 2, 737-783.
- Siems, M. and Cabrelli, D., Comparative Company Law: A Case-Based Approach, 2013.
- Triantis, G. and Daniels, R., “The Role of Debt in Interactive Corporate Governance”, 83 California Law Reviw 1073, 1995.
- Williamson/Winter (eds.), The Nature of the Firm, Oxford University Press, 1991.
E) Economía Financiera
- LeRoy, S. and Werner, J., Principles of Financial Economics, Cambridge University Press, 2001.
- Duffie, D., Dynamic Asset Pricing Theory, Princeton University Press, 3rd Edition, 2001.
- Brunnermeier, M., Asset Pricing under Asymmetric Information: Bubbles, Technical Analysis, Herding and Crashes, Oxford University Press, 2001.
- Cochrane, J., Asset Pricing, Princeton University Press, 2001.
- O´Hara, M., Market Microstructure Theory, Blackwell 1995.
- Thaler, R. (ed.), Advances in Behavioral Finance, Russel Sage Foundation, New York, 1993.
- Venegas-Martínez, F., Riesgos financieros y económicos, Cengage Learning Editores, 2008.
F) Finanzas Corporativas
- Berk, J., DeMarzo, P., Hardford, J., Fundamentos de Finanzas Corporativas, Pearson, 2010.
- Black, F., “Noise” (1986), Journal of Finance.
- Black, F. and Scholes, M., “The Pricing of Options and Corporate Liabilities”, Journal of Political Economy 81 (3), pp. 637-654.
- Black, F., “Banking Interest Rates in a World Without Money: The Effects of Uncontrolled Banking”, Journal of Bank Research 1, Autumn 197.
- Brealey, R., Myers, S., y Allen, F., Principios de Finanzas Corporativas, 9ª Edición, McGraw-Hill, 2010.
- De Long, J., Shleifer, A., Summers, L. and Waldman, R., “Noise Trader Risk in Financial Markets” (1987), Working Paper No. 2395, NBER.
- Fama, E., “The Behavior of Stock Market Prices” (1965), Journal of Business 38.
- Fama, E. and Kenneth, F., “The Capital Asset Pricing Model: Theory and Evidence” (2004), Journal of Economic Perspectives 18 (3).
- Fama, E. and Miller, M., The Theory of Finance, New York, 1972.
- Fernández, P., Valoración de Empresas, 4ª Edición, Ediciones Gestión 2000.
- Fernández, P., “CAPM: An Absurd Model” (2014), IESE Working Paper Series.
- Fernández, P., Valuation and Common Sense, 3rd Edition, 2013.
- Fernández, P., Valuation Methods and Shareholder Value Creation. 2002.
- French, C., “The Treynor Capital Asset Pricing Model” (2003), Journal of Investment Management 1 (2).
- Markovitz, H., “Portfolio selection” (1952), The Journal of Finance 7, 77-91.
- Markovitz, H., Portfolio Selection: Efficient Diversification of Investments (1959), New York: John Wiley and Sons
- Modigliani F. and Miller, M., “Corporate income taxes and the cost of capital: a correction” (1963), American Economic Review 53 (3)
- Modigliani F. and Miller, M., “Corporate income taxes and the cost of capital: a correction” (1963), American Economic Review 53 (3)
- Roll, R., “A Critique of the Asset Pricing Theory´s Tests” (1977), Journal of Financial Economics 4.
- Shiller, R., Irrational Exuberance: revised and expanded, 3rd Edition, Princeton University Press, 2015.
G) Regulación financiera y mercado de valores
- Allen, F. and Gale, D., Comparing Financial Systems, MIT Press, 2001.
- Allen, F. and Santomero, A., “What do Financial Intermediaries Do?” (2001) 25 Journal of Banking & Finance 271.
- Armour, J., Davies, P., Gordon, J., Mayer, C., and Payne, J., Principles of Financial Regulation, Oxford University Press (forthcoming, 2015).
- Carnell, R., Macey, J. and Miller, G., The Law of Financial Institutions, 5th Edition, 2013.
- Castilla, M., Regulación y competencia en los mercados de valores, Civitas, 2001.
- Davis, E. and Steil, B., Institutional Investors, MIT Press, 2001.
- De Haan, J., Oosterloo,S., and Schoenmaker, D., Financial Markets and Institutions: A European Perspective, 2th Edition, Cambridge University Press, 2012.
- Fama, E., “Efficient Capital Markets: A Review of Theory and Empirical Work” (1970), Journal of Finance 25.
- Fama, E., “Efficient Capital Markets II” (1991), Journal of Finance 46.
- Ferran/Payne/Maloney (eds.), Oxford Handbook on Financial Regulation, Oxford University Press, 2015.
- Ferrarini/Hopt/Wymeersch (eds.) Financial Regulation and Supervision: A Post-crisis Analysis, Oxford University Press, 2012.
- Gleeson, S., International Regulation of Banking, Oxford University Press, 2010.
- Goshen, Z. and Parchomovsky, G., “The Essential Role of Securities Regulation” (2006) 55 Duke Law Journal 711.
- Hopt/Wymeersch (eds.), Capital Markets and Company Law, Oxford University Press, 2003.
- Howells, P. Bain, K., The Economics of Money, Banking and Finance, 4th Edition, Prentice Hall, 2008.
- Hudson, A., The Law of Finance, Sweet & Maxwell, 2009.
- Kraakman, R. and Gilson, R., “The Mechanism of Market Efficiency” (1984), Virginia Law Review, Vol. 70, No 4.
- Kraakman, R. and Gilson, R., “Market Efficiency after the Financial Crisis: It’s Still a Matter of Information Costs” (2014), European Corporate Governance Working Paper, Law Working Paper No 242/2014.
- La Porta, R., Lopez de Silanes, F., and Shleifer, A., What Works in Securities Law? Journal of Finance 61, No. 1, pp. 132.
- Lastra, R., Legal Foundations of International Monetary Stability, Oxford University Press, 2006.
- Lastra, R. (ed.), The Reform of the International Financial Architecture, Kluwer Law International, 2001.
- Lastra, R., International Financial and Monetary Law, Oxford University Press, 2015.
- Macey, J. and O’Hara, M. “Regulating Exchanges and Alternative Trading Systems: A Law and Economics Perspective” (1999) 28 Journal of Legal Studies 17.
- MacNeil, I., A introduction to the Law on Financial Investment, Hart Publishing, 2nd Edition, 2012.
- Mendoza, J.M., “Securities Regulation in Low-Tier Listing Venues: The Rise of the Alternative Investment Market” (2008), Fordham Journal of Corporate and Financial Law, Vol. XIII, 257.
- Mishkin, F. and Eakins, S., Financial Markets and Institutions, 6th Edition, Pearson, 2008.
- Modigliani, F., Ferri, M. and Fabozzi, F., Foundations of Financial Markets and Institutions, New Jersey, 1998.
- Ogus, A., Regulation: Legal Form and Economic Theory, 1994.
- Panasar, R. and Boeckman, P., European Securities Law, Oxford University Press, 2010.
- Romano, R., The Advantage of Competitive Federalism for Securities Regulation, AEI Press, 2002.
- Shiller, R., Finance and the Good Society, Princeton University Press, 2012.
- Shiller, R., Irrational Exuberance, 2nd Edition, Princeton University Press, 2005.
- Schleifer, A., Inefficient Markets: An Introduction to Behavioral Finance, Oxford University Press, 2000.
- Stulz, R., “Hedge Funds: Past, Present, and Future” (2007) 21 Journal of Economic Perspectives 175.
- Varón, J.C., Portafolios de inversión: la norma y el negocio, Temis-Uniandes, Bogotá, 2008.