Country Risk: An Empirical Approach to Estirnate the Probability of Default in Emergent markets'
En el presente trabajo, se sugiere una metodología nueva para estimar la probabilidadde que un país incumpla sus compromisos de pago de deuda. Dicha probabilidad seexpresa como función de distintas variables macroeconómicas. La metodología sebasa en valorar los precios en el mercado secundario de in...
Main Authors: | Gonzalo Camargo, Mayko Camargo |
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Format: | Article |
Language: | English |
Published: |
Pontificia Universidad Católica del Perú
2004-03-01
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Series: | Economía |
Online Access: | http://revistas.pucp.edu.pe/index.php/economia/article/view/865 |
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