Indicadores básicos de desarrollo del mercado accionario colombiano
dc.audience | Policymakers | eng |
dc.audience | Researchers | eng |
dc.audience | Students | eng |
dc.audience | Teachers | eng |
dc.coverage.sucursal | Bogotá | spa |
dc.creator | Uribe-Gil, Jorge Mario | |
dc.date.accessioned | 2007-09-01T08:30:10Z | eng |
dc.date.available | 2015-12-06T08:30:10Z | spa |
dc.date.available | 2015-12-14T08:30:10Z | spa |
dc.date.available | 2017-10-24T08:30:10Z | spa |
dc.date.created | 2007-09-01 | spa |
dc.date.issued | 2007-09 | eng |
dc.description | Se estudia el mercado accionario colombiano entre los años 2001 y 2005 en términos de liquidez y tamaño. Hace comparaciones frente a Chile y Brasil. | spa |
dc.description.abstract | Recent months have seen a much larger influx of funds into the Colombian stock market. For example, pension fund mangers (PFM) added Col$5.84 trillion (t) to their stock market investments between 2002 and 2006 (Financial Market Superintendent, 2007), and foreign portfolio investments (short and long term) are up by US$1.213 million (m) (Banco de la República, 2007), with a major portion going to the stock market. This has sparked some important changes in the price of paper traded on that market, which means more risk. However, it also represents an opportunity to empower capital-market development. A stock market that is more profound offers new possibilities for financial-sector development and economic growth in general. This situation obliges us to look at some of the indicators of stock market development (size, liquidity, concentration, risk, integration and efficiency) and to compare them to the international level. The principal findings for 2006 are summarized in the tables included in this article (Tables 1, 2 and 3). | eng |
dc.format.extent | 9 páginas : gráficas, tablas | spa |
dc.format.mimetype | spa | |
dc.identifier.handle | https://hdl.handle.net/20.500.12134/2070 | spa |
dc.identifier.uri | https://repositorio.banrep.gov.co/handle/20.500.12134/2070 | spa |
dc.language.iso | spa | spa |
dc.publisher | Banco de la República de Colombia | spa |
dc.relation.doi | https://doi.org/10.32468/tef.28 | spa |
dc.relation.ispartof | Documentos de Trabajo | spa |
dc.relation.ispartofseries | Temas de Estabilidad Financiera | spa |
dc.relation.isversionof | Temas de Estabilidad Financiera ; No. 28 | spa |
dc.relation.number | tef 28 | eng |
dc.relation.repec | https://ideas.repec.org/p/bdr/temest/028.html | spa |
dc.rights.accessRights | Open Access | eng |
dc.rights.cc | Atribucion-NoComercial-CompartirIgual CC BY-NC-SA 4.0 | eng |
dc.rights.disclaimer | Las opiniones contenidas en el presente documento son responsabilidad exclusiva de los autores y no comprometen al Banco de la República ni a su Junta Directiva. | spa |
dc.rights.spa | Acceso abierto | spa |
dc.rights.uri | https://creativecommons.org/licenses/by-nc-sa/4.0/ | eng |
dc.source.bibliographicCitation | Demirgüç-Kunt, A.; Levine, R. (1995) “Stock Markets and Financial Intermediaries: Estlized Facts”, The World Bank Policy Research Working Paper, núm. 1462, Banco Mundial. | spa |
dc.source.bibliographicCitation | Garavito, C. (2006) “De club de caballeros a foro electrónico de negociación: un análisis institucionalista denso de la Bolsa de Valores de Colombia”, Working Paper Series, Princeton University, núm. 06-08f. | spa |
dc.source.bibliographicCitation | Uribe Gil, J. (2007) “Caracterización del mercado accionario colombiano 2001-2006: un análisis comparativo”, Borradores de Economía, núm. 456, Banco de la República. | spa |
dc.source.handleRepec | RePEc:bdr:temest:028 | spa |
dc.subject | Flujos de fondos | spa |
dc.subject | Liquidez | spa |
dc.subject | Mercados financieros | spa |
dc.subject | Inversiones | spa |
dc.subject | Colombia | spa |
dc.subject.jel | D53 - Financial Markets | eng |
dc.subject.jel | F40 - Macroeconomic Aspects of International Trade and Finance: General | eng |
dc.subject.jel | D81 - Criteria for Decision-Making under Risk and Uncertainty | eng |
dc.subject.jelspa | D53 - Mercados financieros | spa |
dc.subject.jelspa | F40 - Aspectos macroeconómicos del comercio y las finanzas internacionales: Generalidades | spa |
dc.subject.jelspa | D81 - Criterios para la toma de decisiones con riesgo e incertidumbre | spa |
dc.subject.keyword | Cash flows | eng |
dc.subject.keyword | Liquidity | eng |
dc.subject.keyword | Financial markets | eng |
dc.subject.keyword | Investments | eng |
dc.subject.keyword | Colombia | eng |
dc.subject.lemb | Bolsa de valores -- Colombia -- 2001-2005 | spa |
dc.subject.lemb | Riesgo (Economía) | spa |
dc.subject.lemb | Bolsa de valores -- Estudios comparados -- 2001-2005 | spa |
dc.title | Indicadores básicos de desarrollo del mercado accionario colombiano | spa |
dc.title.alternative | Basic indicators of colombian stock market development | spa |
dc.type | Working Paper | eng |
dc.type.hasversion | Published Version | eng |
dc.type.spa | Documentos de trabajo | spa |
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