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Publications

by members of

Facultad de Finanzas, Gobierno y Relaciones Internacionales
Universidad Externado de Colombia
Bogotá, Colombia

(Department of Finance, Government and International Relations, Externado University)

These are publications listed in RePEc written by members of the above institution who are registered with the RePEc Author Service. Thus this compiles the works all those currently affiliated with this institution, not those affilated at the time of publication. List of registered members. Register yourself. Citation analysis. This page is updated in the first days of each month.
| Working papers | Journal articles | Books |

Working papers

2022

  1. Carlos Andrés Zapata Quimbayo & Raúl Alberto Chamorro Narváez, 2022. "Deuda pública y sostenibilidad fiscal en Colombia: análisis mediante funciones de reacción fiscal," Ensayos de Economía 20647, Universidad Nacional de Colombia Sede Medellín.

2020

  1. Jaramillo-López, Oscar Andrés & Forero-Laverde, Germán & Venegas-Martínez, Francisco, 2020. "Evolución del supuesto de normalidad en finanzas: un análisis epistemológico del tipo Popper-Kuhn ¿Por qué la normalidad no cae en desuso? [Evolution of the assumption of normality in finance: a ep," MPRA Paper 101938, University Library of Munich, Germany.

2019

  1. Germán Forero-Laverde & Jesús Mur & María Ángeles Pons, 2019. "The financial cycle and the regulatory pendulum in the United Kingdom (1885-2016)," Documentos de Trabajo (DT-AEHE) 1911, Asociación Española de Historia Económica.

2018

  1. German Forero-Laverde, 2018. "A New Indicator for Describing Bull and Bear Markets," Working Papers 0129, European Historical Economics Society (EHES).

2016

  1. German Forero-Laverde, 2016. "Are All Booms and Busts Created Equal? A New Methodology for Understanding Bull and Bear Stock Markets," UB School of Economics Working Papers 2016/339, University of Barcelona School of Economics.

2015

  1. Ruge-Leiva, Diego-Ivan, 2015. "The Online Supplement to “International R&D Spillovers and other Unobserved Common Spillovers and Shocks”," MPRA Paper 62205, University Library of Munich, Germany.
  2. Diego-Ivan Ruge-Leiva, 2015. "International R&D Spillovers and other Unobserved Common Spillovers and Shocks," Papers 1502.06805, arXiv.org.

2014

  1. Ruge-Leiva, Diego-Ivan, 2014. "International R&D Spillovers and Unobserved Common Shocks," MPRA Paper 56718, University Library of Munich, Germany.

Journal articles

2022

  1. Franco Gómez, Yuly Andrea & Moreno Trujillo, John Freddy & Zapata Quimbayo, Carlos Andres, 2022. "Selección óptima de portafolios usando el modelo Black-Litterman con views difusas," Revista Lecturas de Economía, Universidad de Antioquia, CIE, issue No. 97, pages 369-393, May.
  2. Yuly Andrea Franco Gómez & John Freddy Moreno Trujillo & Carlos Andres Zapata Quimbayo, 2022. "Optimal Portfolio Selection Using the Black-Litterman Model With Fuzzy Views," Lecturas de Economía, Universidad de Antioquia, Departamento de Economía, issue 97, pages 369-393, July-Dece.

2020

  1. Zapata Quimbayo, Carlos Andrés, 2020. "Probabilidad de incumplimiento en inversiones de infraestructura: análisis a partir de modelos estructurales de riesgo de crédito || Probability of default in infrastructure projects: analysis from st," Revista de Métodos Cuantitativos para la Economía y la Empresa = Journal of Quantitative Methods for Economics and Business Administration, Universidad Pablo de Olavide, Department of Quantitative Methods for Economics and Business Administration, vol. 30(1), pages 327-345, December.

2019

  1. Carlos Andres Zapata Quimbayo & Carlos Armando Mej¨ªa Vega, 2019. "Real Options Valuation in Gold Mining Projects under Multinomial Tree Approach," Business and Economic Research, Macrothink Institute, vol. 9(3), pages 204-218, September.
  2. Carlos Andrés Zapata Quimbayo & Carlos Armando Mejía Vega & Naielly Lopes Marques, 2019. "Minimum revenue guarantees valuation in PPP projects under a mean reverting process," Construction Management and Economics, Taylor & Francis Journals, vol. 37(3), pages 121-138, March.
  3. Forero-Laverde, German, 2019. "Stock market co-movement, domestic economic policy and the macroeconomic trilemma: the case of the UK (1922–2016)," Financial History Review, Cambridge University Press, vol. 26(3), pages 295-320, December.

Books

2020

  1. Carlos Andrés Zapata Quimbayo, 2020. "OPCIONES REALES Una guía teórico-práctica para la valoración de inversiones bajo incertidumbre mediante modelos en tiempo discreto y simulación de Monte Carlo," Books, Universidad Externado de Colombia, Facultad de Finanzas, Gobierno y Relaciones Internacionales, number 138.

2015

  1. John Freddy Moreno Trujillo, 2015. "Una introducción a las opciones reales," Books, Universidad Externado de Colombia, Facultad de Finanzas, Gobierno y Relaciones Internacionales, edition 1, number 96.

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