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Multidimensional View of the Colombian economy
Details
The book is a compendium of three research articles on different dimensions of the Colombian economy. The first paper aims to analyse and quantify the effects of shocks originated in the US financial markets on the major Colombian financial markets. It was discovered that US markets generate significant overall spillover effects on the Colombian stock market. The second paper investigates the uncertainty and interdependence between the Colombian stock market and the main international markets. The results show that the subprime crisis period generates a significant positive effect on the conditional volatility. The last papers research is to review the monetary policy schemes that a central bank uses to stabilize an economy. Furthermore, it synthesizes the monetary policy schemes in a proposal that raises a monitoring scheme for full employment with economic and financial stability.
Autorentext
Master in Applied Economics from the Universidad del Valle with experience in Data Science, Project Management, Microeconometrics, Econometrics Advanced, Financial Engineering, Integrated Risk Management (Market, Liquidity, Credit, Operational, Business Continuity, Fraud and Corruption, Strategic, Conglomerate), Governance, Risk Management.
Weitere Informationen
- Allgemeine Informationen
- Sprache Englisch
- Anzahl Seiten 104
- Herausgeber LAP LAMBERT Academic Publishing
- Gewicht 173g
- Untertitel Economic applications
- Autor Giovanny Sandoval-Paucar
- Titel Multidimensional View of the Colombian economy
- Veröffentlichung 28.04.2022
- ISBN 365959816X
- Format Kartonierter Einband
- EAN 9783659598166
- Jahr 2022
- Größe H220mm x B150mm x T7mm
- GTIN 09783659598166