{"id":64609,"date":"2018-03-09T22:52:40","date_gmt":"2018-03-09T22:52:40","guid":{"rendered":"https:\/\/www.deberes.net\/tesis\/sin-categoria\/puzzles-in-international-finance-portfolio-diversification-and-debt-maturity\/"},"modified":"2018-03-09T22:52:40","modified_gmt":"2018-03-09T22:52:40","slug":"puzzles-in-international-finance-portfolio-diversification-and-debt-maturity","status":"publish","type":"post","link":"https:\/\/www.deberes.net\/tesis\/economia-internacional\/puzzles-in-international-finance-portfolio-diversification-and-debt-maturity\/","title":{"rendered":"Puzzles in international finance: portfolio diversification and debt maturity"},"content":{"rendered":"<h2>Tesis doctoral de <strong> Gustavo Solorzano Andrade <\/strong><\/h2>\n<p>Esta tesis analiza dos caracter\u00edsticas de los mercados financieros internacionales que no son totalmente comprendidos en econom\u00eda: el sesgo de los portafolios de inversi\u00f3n hacia papeles de la misma nacionalidad del inversionista y el financiamiento de proyectos de largo plazo con deuda de corto plazo en econom\u00edas emergentes. El primer cap\u00edtulo considera el efecto de las perturbaciones de demanda combinadas con rigideces nominales en la formaci\u00f3n de portafolios de inversi\u00f3n y c\u00f3mo esto lo sesga hacia inversiones dom\u00e9sticas. El segundo cap\u00edtulo analiza c\u00f3mo la existencia de deuda de corto plazo, al generar riesgo de iliquidez, permite a los inversionistas internacionales obtener tasas de inter\u00e9s m\u00e1s altas que las que obtendr\u00edan en inversiones nacionales. Luego el cap\u00edtlo presenta una explicaci\u00f3n de c\u00f3mo la estructura financiera internacional puede llevar a que el mercado genere pr\u00e9stamos de corto plazo para beneficiar a los inversionistas internacionales en detrimento de las econom\u00edas emergentes.<\/p>\n<p>&nbsp;<\/p>\n<h3>Datos acad\u00e9micos de la tesis doctoral \u00ab<strong>Puzzles in international finance: portfolio diversification and debt maturity<\/strong>\u00ab<\/h3>\n<ul>\n<li><strong>T\u00edtulo de la tesis:<\/strong>\u00a0 Puzzles in international finance: portfolio diversification and debt maturity <\/li>\n<li><strong>Autor:<\/strong>\u00a0 Gustavo Solorzano Andrade <\/li>\n<li><strong>Universidad:<\/strong>\u00a0 Pompeu fabra<\/li>\n<li><strong>Fecha de lectura de la tesis:<\/strong>\u00a0 20\/05\/2008<\/li>\n<\/ul>\n<p>&nbsp;<\/p>\n<h3>Direcci\u00f3n y tribunal<\/h3>\n<ul>\n<li><strong>Director de la tesis<\/strong>\n<ul>\n<li>Jaume Ventura Fontanet<\/li>\n<\/ul>\n<\/li>\n<li><strong>Tribunal<\/strong>\n<ul>\n<li>Presidente del tribunal: giancarlo Corsetti <\/li>\n<li>alessandra Bonfiglioli (vocal)<\/li>\n<li>hugo Rodr\u00edguez mendiz\u00e1bal (vocal)<\/li>\n<li>xavier Freixas dargallo (vocal)<\/li>\n<\/ul>\n<\/li>\n<\/ul>\n<p>&nbsp;<\/p>\n","protected":false},"excerpt":{"rendered":"<p>Tesis doctoral de Gustavo Solorzano Andrade Esta tesis analiza dos caracter\u00edsticas de los mercados financieros internacionales que no son totalmente 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