José Antonio Núñez
I enjoy reading and quiet walks in the woods. I like to read literature, math, and finance. My passion is research. I think research is the development way for Mexico and significantly contribute to education.

The research and teaching of Professor Nuñez Mora 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 chapter of books. 


He is a member of the National System of Researchers of CONACYT, Level II. He is Director of the Journal in Administration, Finance, and Economics by EGADE Business School and he has directed 10 degree thesis in the last five years for the students of the Philosopher’s Degree in Financial Sciences. 


Additionally to his teaching activity in EGADE Business School, Professor Nuñez has been the Director of the Ph.D. in Management Sciences, also, he has carried out consultancy in Tecnológico de Monterrey, Campus Mexico City, in topics related to the macro-economic impact of the pension reforms in Mexico. 

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

Sistema Nacional de Investigadores Nivel 2

  1. Matriz de covarianza bajo la familia hiperbólica generalizada y la construcción de portafolios. Revista de Contaduría y Administración, Vol.3, 2016 (Scopus)
  2. Dependence between the Chinese and MILA stock markets, Journal of Chinese Economics and Trade,2016 December (Scopus) 
  3. Efficient portfolios and the generalized hyperbolic distribution,Economics Bulletin,37(4) , 2017,(Scopus)
  4. Desempeño de un Conjunto de Estrategias Cambiarias,Revista Mexicana de Economía y Finanzas, (REMEF), Nueva época , Volumen 13 Número 2 , Abril – Junio 2018
  5. Underlying Assets Distribution in Derivatives: The BRIC Case February 2018