dc.creatorGaray, Urbi
dc.creatorHernández, Manuel
dc.creatorRivillo, Carlos
dc.date.accessioned2018-09-01T19:29:37Z
dc.date.available2018-09-01T19:29:37Z
dc.date.created2018-09-01T19:29:37Z
dc.date.issued2017-07
dc.identifierGaray, U., Hernández, M. & Rivillo, Carlos (2017). Variables microeconómicas de los fondos de fondos de cobertura (FFC) y su desempeño durante la crisis financiera global 2008-2009. Revista Finanzas y Política Económica, 9, p. 373 - 396.
dc.identifier2248-6046
dc.identifierhttps://hdl.handle.net/10983/16963
dc.description.abstractThis paper examines the behavior of the microeconomic variables of funds of hedge funds (FHF) during a period prior to the global financial crisis of 2008-2009, and analyzes whether these variables explain the performance of FHF during such crisis. Given its magnitude and severity, this crisis constitutes an ideal event to determine the characteristics of FHF that managed to survive it. Using a Probit regression model, it was concluded that the following variables explain the survival probability of FHF: previous average yield, standard deviation of yields, fixed commission, incentive commission, and yield kurtosis.
dc.description.abstractEste trabajo examina el comportamiento de las variables microeconómicas de los fondos de fondos de cobertura (FFC) durante un periodo previo a la crisis financiera global 2008-2009, y analiza si dichas variables explican el desempeño de los FFC durante tal crisis. La magnitud y la severidad de la crisis representan un evento ideal para determinar las características de los FFC que lograron sobrevivirla. Mediante la aplicación de un modelo de regresión Probit, se concluyó que las siguientes variables explican la probabilidad de sobrevivencia de los FFC: rendimiento promedio previo, desviación estándar de los rendimientos, comisión fija, comisión por incentivo y curtosis de los rendimientos.
dc.languagespa
dc.publisherUniversidad Católica de Colombia. Facultad de Ciencias Económicas y Administrativas
dc.relationRevista Finanzas y Política Económica, Vol. 9, no. 2 (jul. – dic. 2017); p. 373 - 396. http://dx.doi.org/10.14718/revfinanzpolitecon.2017.9.2.8
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dc.rightsinfo:eu-repo/semantics/openAccess
dc.rightsAtribución-NoComercial-SinDerivadas 4.0 Internacional (CC BY-NC-ND 4.0)
dc.rightshttps://creativecommons.org/licenses/by-nc-nd/4.0/
dc.rightsDerechos Reservados - Universidad Católica de Colombia, 2017
dc.sourcehttps://editorial.ucatolica.edu.co/ojsucatolica/revistas_ucatolica/index.php/RFYPE/article/view/1846/1667
dc.titleVariables microeconómicas de los fondos de fondos de cobertura (FFC) y su desempeño durante la crisis financiera global 2008-2009
dc.typeArtículo de revista


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