Examinando por Materia "Canonical correlation analysis"
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Ítem Aspectos teóricos y empíricos de la relación empresa bancos(Universidad EAFIT, 2003-01-27) Jaramillo, Alberto; Velásquez, Hermilson; Ortiz, Javier Santiago; Serna Rodriguez, Natalia; Zuluaga Diaz, FranciscoFrom the perspective of the enterprise business cycle policy, this article tests, for the Colombian case, what the authors named “the Krugman’s Hypothesis”, by which the real sector explains partially the performance of the financial sector. With the information available at Superintendencia de Valores, during the period 1997-2001, using the Canonical Analysis method, a method to quantify the correlation between two sets of variable, the results show, through the operational earnings of the businesses and the credit provision of the finance firm, the real sector had an impact on the financial sector.