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Aspectos teóricos y empíricos de la relación empresas bancos

Author

Listed:
  • Alberto Jaramillo

    ()

  • Hermilson Velásquez

    ()

  • Javier Santiago Ortiz
  • Natalia Serna

Abstract

Desde la perspectiva de la política coyuntural de la empresa, este artículo prueba, para el caso colombiano, lo que los autores han denominado la hipótesis de Krugman", según la cual el sector real incide en el desempeño del sector financiero. Con información disponible en la Superintendencia de Valores, para el período 1997-2001, y utilizando el método de la correlación canónica, que establece la correlación entre conjuntos de variables, los resultados permiten concluir que a través de los ingresos operacionales de las empresas y las provisiones del las firmas del sector financiero, el sector real influyó, de manera importante, en el desempeño del sector financiero."

Suggested Citation

  • Alberto Jaramillo & Hermilson Velásquez & Javier Santiago Ortiz & Natalia Serna, 2003. "Aspectos teóricos y empíricos de la relación empresas bancos," Documentos de Trabajo CIEF 003922, Universidad EAFIT.
  • Handle: RePEc:col:000122:003922
    as

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    References listed on IDEAS

    as
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    More about this item

    Keywords

    análisis de correlación canónica; sector real; sector financiero; hipótesis de Krugman; política coyuntural de la empresa;
    All these keywords.

    JEL classification:

    • G10 - Financial Economics - - General Financial Markets - - - General (includes Measurement and Data)
    • G20 - Financial Economics - - Financial Institutions and Services - - - General

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