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1Academic Journal
المصدر: Revista CEA; Vol. 11 No. 25 (2025) ; Revista CEA; Vol. 11 Núm. 25 (2025) ; 2422-3182 ; 2390-0725
مصطلحات موضوعية: conectividad del mercado, contagio del mercado financiero, vectores autorregresivos cuantílico (QVAR), volatilidad del mercado, market connectedness, financial contagion, stock market spillover, Quantile Vector Autoregression (QVAR), volatility
وصف الملف: application/pdf
Relation: https://revistas.itm.edu.co/index.php/revista-cea/article/view/3075/3468; Al Nasser, O. M., & Hajilee, M. (2016). Integration of emerging stock markets with global stock markets. Research in International Business and Finance, 36, 1-12. https://doi.org/10.1016/j.ribaf.2015.09.025; Arbeláez García, D., & Rosso, J. (2016). Efectos estacionales en los mercados de capitales de la Alianza del Pacífico. Estudios Gerenciales, 32(141), 358-368. https://doi.org/10.1016/j.estger.2016.10.002; Arouri, M. E. H., Lahiani, A., & Nguyen, D. K. (2015). Cross-market dynamics and optimal portfolio strategies in Latin American equity markets. European Business Review, 27(2), 161-181. https://doi.org/10.1108/EBR-04-2013-0069; Beirne, J., Caporale, G. M., Schulze-Ghattas, M., & Spagnolo, N. (2013). Volatility Spillovers and Contagion from Mature to Emerging Stock Markets. Review of International Economics, 21(5), 1060-1075. https://doi.org/10.1111/roie.12091; Ben Rejeb, A., & Arfaoui, M. (2016). Financial market interdependencies: A quantile regression analysis of volatility spillover. Research in International Business and Finance, 36, 140-157. https://doi.org/10.1016/j.ribaf.2015.09.022; Bhowmik, R., Debnath, G. C., Debnath, N. C., & Wang, S. (2022). Emerging stock market reactions to shocks during various crisis periods. PLOS ONE, 17(9), e0272450. https://doi.org/10.1371/journal.pone.0272450; Bhuyan, R., Robbani, M. G., Talukdar, B., & Jain, A. (2016). Information transmission and dynamics of stock price movements: An empirical analysis of BRICS and US stock markets. International Review of Economics & Finance, 46, 180-195. https://doi.org/10.1016/j.iref.2016.09.004; Boubaker, S., Karim, S., Naeem, M. A., & Sharma, G. D. (2023). Financial markets, energy shocks, and extreme volatility spillovers. Energy Economics, 126, 107031. https://doi.org/10.1016/j.eneco.2023.107031; Cardona, L., Gutiérrez, M., & Agudelo, D. A. (2017). Volatility transmission between US and Latin American stock markets: Testing the decoupling hypothesis. Research in International Business and Finance, 39, 115-127. https://doi.org/10.1016/j.ribaf.2016.07.008; Cardoso, G. F., Souza, G. S., Carvalho, L. F., & Ribeiro, K. C. D. S. (2020). Analysis of volatility and contagion effect of countries from Latin America. Revista Ibero-Americana de Estrategia, 19(4), 41-57. https://doi.org/10.5585/riae.v19i4.14457; Chatziantoniou, I., Gabauer, D., & Stenfors, A. (2021). Interest rate swaps and the transmission mechanism of monetary policy: A quantile connectedness approach. Economics Letters, 204, 109891. https://doi.org/10.1016/j.econlet.2021.109891; Chuliá, H., Fernández, J., & Uribe, J. M. (2018). Currency downside risk, liquidity, and financial stability. Journal of International Money and Finance, 89, 83-102. https://doi.org/10.1016/j.jimonfin.2018.09.009; Dias, R., da Silva, J. V., & Dionísio, A. (2019). Financial markets of the LAC region: Does the crisis influence the financial integration? International Review of Financial Analysis, 63, 160-173. https://doi.org/10.1016/j.irfa.2019.02.008; Diebold, F. X., & Yilmaz, K. (2012). Better to give than to receive: Predictive directional measurement of volatility spillovers. International Journal of Forecasting, 28(1), 57-66. https://doi.org/10.1016/j.ijforecast.2011.02.006; Espinosa-Méndez, C., Gorigoitía, J., & Vieito, J. (2017). Is the Virtual Integration of Financial Markets Beneficial in Emerging Markets? Evidence from MILA. Emerging Markets Finance and Trade, 53(10), 2279-2302. https://doi.org/10.1080/1540496X.2017.1307101; Fassas, A. P. (2020). Risk aversion connectedness in developed and emerging equity markets before and after the COVID-19 pandemic. Heliyon, 6(12), e05715. https://doi.org/10.1016/j.heliyon.2020.e05715; Fortunato, G., Martins, N., & de Lamare Bastian-Pinto, C. (2020). Global Economic Factors and the Latin American Stock Markets. Latin American Business Review, 21(1), 61-91. https://doi.org/10.1080/10978526.2019.1665467; Gamba-Santamaria, S., Gomez-Gonzalez, J. E., Hurtado-Guarin, J. L., & Melo-Velandia, L. F. (2017). Stock market volatility spillovers: Evidence for Latin America. Finance Research Letters, 20, 207-216. https://doi.org/10.1016/j.frl.2016.10.001; Gordo Mora, E., Kataryniuk, I., & Santabárbara, D. (2020). El auge del proteccionismo: implicaciones para la economía global. Economistas, (166), 67-79. https://dialnet.unirioja.es/servlet/articulo?codigo=7264506; Graham, M., Kiviaho, J., & Nikkinen, J. (2012). Integration of 22 emerging stock markets: A three-dimensional analysis. Global Finance Journal, 23(1), 34-47. https://doi.org/10.1016/j.gfj.2012.01.003; Harjoto, M. A., & Rossi, F. (2023). Market reaction to the COVID-19 pandemic: evidence from emerging markets, International Journal of Emerging Markets, 18(1) 1, 173-199. https://doi.org/10.1108/IJOEM-05-2020-0545; Harjoto, M. A., Rossi, F., Lee, R., & Sergi, B. S. (2021). How do equity markets react to COVID-19? Evidence from emerging and developed countries. Journal of Economics and Business, 115, 105966. https://doi.org/10.1016/j.jeconbus.2020.105966; Hwang, J.-K. (2014). Spillover Effects of the 2008 Financial Crisis in Latin America Stock Markets. International Advances in Economic Research, 20(3), 311-324. https://doi.org/10.1007/s11294-014-9472-1; Kang, W., Ratti, R. A., & Vespignani, J. (2020). Global commodity prices and global stock market volatility shocks: Effects across countries. Journal of Asian Economics, 71, 101249. https://doi.org/10.1016/j.asieco.2020.101249; López-Herrera, F., & Venegas-Martínez, F. (2012). Integración Financiera México-Estados Unidos: Mercados accionarios y de derivados accionarios. Economía: teoría y práctica, (36), 179-196.; Mellado, C., & Escobari, D. (2015). Virtual integration of financial markets: A dynamic correlation analysis of the creation of the Latin American Integrated Market. Applied Economics, 47(19), 1956-1971. https://doi.org/10.1080/00036846.2014.1002892; Ortegón Rojas, J. A., & Torres Castro, F. A. (2016). El Mercado Integrado Latinoamericano (MILA): Sus expectativas y el impacto del latibex. Sinapsis, 8(2), 121-145.; Rodríguez Benavides, D., Gurrola Ríos, C., & López Herrera, F. (2021). Dependencia de los mercados de valores de Argentina, Brasil y México respecto del estadounidense: Covid19 y otras crisis financieras recientes. Revista Mexicana de Economía y Finanzas Nueva Época, 16(3), 1-18. https://doi.org/10.21919/remef.v16i3.652; Romero-Álvarez, Y. P., Ramírez-Atehortúa, F. H., & Guzmán-Aguilar, D. S. (2013). Mercado Integrado Latinoamericano (MILA): Análisis de correlación y diversificación de los portafolios de acciones de los tres países miembros en el período 2007-2012. Cuadernos de Contabilidad, 14(34), 53-74.; Sandoval Alamos, E., Vásquez-Párraga, A. Z., & Sabat Arriagada, R. (2015). Integración de los Mercados Accionarios de Chile, Colombia y Perú en el Mercado Integrado Latinoamericano (MILA). Innovar, 25(spe), 71-84. https://doi.org/10.15446/innovar.v25n1spe.53195; Sandoval, E., & Soto, M. (2016). Mercado Integrado Latinoamericano: Un Análisis De Cointegración, Revista Internacional Administración & Finanzas, 9(1), 1-17. https://papers.ssrn.com/abstract=2663684; Sarwar, S., Tiwari, A. K., & Tingqiu, C. (2020). Analyzing volatility spillovers between oil market and Asian stock markets. Resources Policy, 66, 101608. https://doi.org/10.1016/j.resourpol.2020.101608; Sims, C. A. (1980). Macroeconomics and reality. Econometrica, 48(1), 1-48. https://doi.org/10.2307/1912017; Sosa, M., Ortiz, E., & Cabello, A. (2019). International Financial US Linkages: Networks Theory and MS-VAR Analyses. Revista Mexicana de Economía y Finanzas Nueva Época, 14, 459-484. https://doi.org/10.21919/remef.v14i0.418; Syriopoulos, T., Makram, B., & Boubaker, A. (2015). Stock market volatility spillovers and portfolio hedging: BRICS and the financial crisis. International Review of Financial Analysis, 39, 7-18. https://doi.org/10.1016/j.irfa.2015.01.015; Szczygielski, J. J., Bwanya, P. R., Charteris, A., & Brzeszczyński, J. (2021). The only certainty is uncertainty: An analysis of the impact of COVID-19 uncertainty on regional stock markets. Finance Research Letters, 43, 101945. https://doi.org/10.1016/j.frl.2021.101945; Tiwary, D., Das, K. C., Shettigar, J., & Misra, P. (2022). Exchange Rate Volatility and Financial Stress: Evidence from Developing Asia. Journal of Emerging Market Finance, 21(4), 355-384.; Topcu, M., & Gulal, O. S. (2020). The impact of COVID-19 on emerging stock markets. Finance Research Letters, 36, 101691. https://doi.org/10.1016/j.frl.2020.101691; Uribe Gil, J. M., & Mosquera López, S. (2014). Efectos del MILA en la eficiencia de portafolio de los mercados de acciones colombiano, peruano y chileno. Cuadernos de administración, 30(52), 75-83.; Valle, M. A., Lavín, J. F., & Magner, N. S. (2021). Equity Market Description under High and Low Volatility Regimes Using Maximum Entropy Pairwise Distribution. Entropy, 23(10), 1-29. https://doi.org/10.3390/e23101307; Vargas Pulido, W., & Bayardo Martínez, J. (2013). El Mila. Mercado de Integración entre Chile, Perú y Colombia. Revista de Relaciones Internacionales, Estrategia y Seguridad, 8(1), 113-133. https://doi.org/10.18359/ries.67; Vitali, S., Battiston, S., & Gallegati, M. (2016). Financial fragility and distress propagation in a network of regions. Journal of Economic Dynamics and Control, 62, 56-75. https://doi.org/10.1016/j.jedc.2015.10.003; Wu, J., Rasool, Z., Ali, S., & Nazar, R. (2024). Between policy swings and financial shockwaves: Asymmetric impact of economic policy uncertainty on financial stability in high-volatility nations. Socio-Economic Planning Sciences, 95, 102000. https://doi.org/10.1016/j.seps.2024.102000; Yousaf, I., & Ahmed, J. (2018). Mean and Volatility Spillover of the Latin American Stock Markets. Journal of Business & Economics, 10(1), 51-63. https://journals.au.edu.pk/ojs/index.php/jbe/article/view/105; Yousaf, I., Ali, S., Naveed, M., & Adeel, I. (2021). Risk and Return Transmissions From Crude Oil to Latin American Stock Markets During the Crisis: Portfolio Implications. SAGE Open, 11(2). https://doi.org/10.1177/21582440211013800; Yousaf, I., Ali, S., & Wong, W.-K. (2020). Return and Volatility Transmission between World-Leading and Latin American Stock Markets: Portfolio Implications. Journal of Risk and Financial Management, 13(7), 1-19. https://doi.org/10.3390/jrfm13070148; Zhang, D., Hu, M., & Ji, Q. (2020). Financial markets under the global pandemic of COVID-19. Finance Research Letters, 36, 101528. https://doi.org/10.1016/j.frl.2020.101528
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2Academic Journal
المصدر: Apuntes del Cenes; Vol. 39 No. 70 (2020); 107-138 ; Apuntes del Cenes; Vol. 39 Núm. 70 (2020); 107-138 ; 2256-5779 ; 0120-3053
مصطلحات موضوعية: spillover effect, oil prices, coal prices, gas prices, economic growth, efecto derrame, precios del petróleo, precios del carbón, precios del gas, crecimiento económico
وصف الملف: application/pdf; text/xml
Relation: https://revistas.uptc.edu.co/index.php/cenes/article/view/10876/9836; https://revistas.uptc.edu.co/index.php/cenes/article/view/10876/11553; https://revistas.uptc.edu.co/index.php/cenes/article/view/10876; https://repositorio.uptc.edu.co/handle/001/12037
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3Academic Journal
المؤلفون: Moncaleano Maquilón, Jorge Andrés, Candelo Viáfara, Juan Manuel, Rivera Díaz, María del Pilar
المصدر: Desarrollo Gerencial; Vol. 15 No. 1 (2023): January-June; 1-27 ; Desarrollo Gerencial; Vol. 15 Núm. 1 (2023): Enero-Junio; 1-27 ; 2145-5147 ; 10.17081/dege.15.1
مصطلحات موضوعية: Desempeño laboral, Gestión de Calidad, Gestión organizacional, ISO 9001, Talento Humano, Work performance, Quality Management, Organizational Management, human talent
وصف الملف: application/pdf; text/xml; application/zip
Relation: https://revistas.unisimon.edu.co/index.php/desarrollogerencial/article/view/6145/6181; https://revistas.unisimon.edu.co/index.php/desarrollogerencial/article/view/6145/6517; https://revistas.unisimon.edu.co/index.php/desarrollogerencial/article/view/6145/6238; https://revistas.unisimon.edu.co/index.php/desarrollogerencial/article/view/6145
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4Academic Journal
المصدر: Revista Facultad de Ciencias Económicas; Vol. 31 No. 1 (2023); 103-117 ; Revista Facultad de Ciencias Económicas; Vol. 31 Núm. 1 (2023); 103-117 ; Revista Facultad de Ciencias Económicas; v. 31 n. 1 (2023); 103-117 ; 1909-7719 ; 0121-6805
مصطلحات موضوعية: mercado accionario, variables macroeconómicas, volatilidad, modelos VAR, COLCAP, mercado de ações, variáveis macroeconômicas, volatilidade, stock market, macroeconomic variables, volatility, models, VAR
وصف الملف: application/pdf; text/xml
Relation: https://revistas.unimilitar.edu.co/index.php/rfce/article/view/6413/5652; https://revistas.unimilitar.edu.co/index.php/rfce/article/view/6413/5861; Abugri, B. A. (2008). Empirical relationship between macroeconomic volatility and stock returns: Evidence from Latin American markets. International Review of Financial Analysis, 17(2), 396-410. https://doi.org/10.1016/j.irfa.2006.09.002; Acevedo Prins, N. M., Jiménez Gómez, L. M., y Castaño, N. E. (2017). Relación de causalidad de variables macroeconómicas locales y globales sobre el índice COLCAP. Revista espacios, 38(21), 38. https://www.revistaespacios.com/a17v38n21/17382138.html; Acikalin, S., Aktas, R., & Unal, S. (2008). Relationships between stock markets and macroeconomic variables: An empirical analysis of the Istanbul Stock Exchange. Investment Management and Financial Innovations, 5(1), 8-16.; Agudelo-Rueda, D. (2011). Inversiones en Renta Variable. Fundamentos y aplicaciones al mercado accionario colombiano. Universidad EAFIT.; Arboleda, S. S. (2017). ¿Puede explicarse la estructura de dependencia del 'Indice General de la Bolsa de Valores de Colombia y Colcap por medio de modelos Switching de Markov con heterocedasticidad condicional? [Tesis de maestría, Universidad Nacional de Colombia]. UNAL Repositorio. https://repositorio.unal.edu.co/handle/unal/59948; Asprem, M. (1989). Stock Prices, Asset Portfolios and Macroeconomic Variables in Ten European Countries. Journal of Banking and Finance, 13(4/5), 589-612. https://doi.org/10.1016/0378-4266(89)90032-0; Bahi, C. A. (2007). Modelos de medición de la volatilidad en los mercados de valores: Aplicación al mercado bursátil Argentino. Universidad Nacional de Cuyo.; Banco de la República de Colombia. (2021, diciembre 27). Mercado accionario. https://www.banrep.gov.co/es/estadisticas/mercado-accionario; Batten, J. A., Ciner, C., & Lucey, B. M. (2010). The macroeconomic determinants of volatility in precious metals markets. Resources Policy, 35(2), 65-71. http://doi.org/10.1016/j.resourpol.2009.12.002; Bekaert, G., Harvey, C. R., & Lumsdaine, R. L. (2002). Dating the integration of world equity markets. Journal of Financial Economics, 65(2), 203-249. https://doi.org/10.1016/S0304-405X(02)00139-3; Bodie, Z., Kane, A. y Marcus, A. (2008). Principios de Inversiones. McGraw-Hill.; Bolsa de Valores de Colombia. (2021, diciembre 27). Índices Bursátiles. https://www.bvc.com.co/pps/tibco/portalbvc/Home/Mercados/descripciongeneral/indicesbursatiles?action=dummy; Candelo-Viáfara, J. M. (2021). Índice mensual de incertidumbre financiera y económica (IMIFE) para la economía colombiana. Lecturas De Economía, (95), 85-104. https://doi.org/10.17533/udea.le.n95a343318; Chen, N., Roll, R., & Ross, S. (1986). Economic factors and stock market. The Journal of Business, 59(3), 383-403. https://doi.org/10.1086/296344; Diebold, F. X., & Yilmaz, K. (2012). Better to give than to receive: Predictive directional measurement of volatility spillovers. International Journal of forecasting, 28(1), 57-66. https://doi.org/10.1016/j.ijforecast.2011.02.006; García, M. C., Jalal, A. M., Garzón, L. A., & López, J. M. (2013). Methods for Predicting Stock Indexes. Ecos De Economía: A Latin American Journal of Applied Economics, 17(37), 51-82. https://doi.org/10.17230/ecos.2013.37.3; Koop, G., Pesaran, M. H., & Potter, S. M. (1996). Impulse response analysis in nonlinear multivariate models. Journal of Econometrics, 74(1), 119-147.; Laopodis, N. T. (2011). Equity Prices and Macroeconomic Fundamentals: International Evidence. Journal of International Financial Markets, Institutions & Money, 21(2), 247-276. https://doi.org/10.1016/j.intfin.2010.10.006; Lott, J. R., & Hassett, K. A. (2004). Is newspaper coverage of economic events politically biased? Public Choice, 160(1/2), 65-108. https://doi.org/10.2139/ssrn.588453; León Cristancho, S. J. y Trespalacios Carrasquilla, A. (2015). Factores macroeconómicos que influyen en la volatilidad del índice accionario COLCAP [Tesis de maestría, Universidad EAFIT]. Repositorio EAFIT. https://repository.eafit.edu.co/handle/10784/7749; Oviedo-Gómez, A., & Candelo-Viafara, J. M. (2022). Economic growth without welfare. The case of the impact of commodities on the Colombian economy. Brazilian Journal of Political Economy, 42(1), 71-87. https://doi.org/10.1590/0101-31572021-3018; Perilla Jiménez, J. R. (2010). El Impacto de los Precios del Petróleo Sobre el crecimiento Económico en Colombia. Revista de economía del Rosario, 13(1), 75-116. https://revistas.urosario.edu.co/index.php/economia/article/view/1631; Pesaran, M., & Shin, Y. (1999). An Autoregressive Distributed-Lag Modelling Approach to Cointegration Analysis. En S. Strøm (Ed.), Econometrics and Economic Theory in the 20th Century: The Ragnar Frisch Centennial Symposium (Econometric Society Monographs, pp. 371-413). Cambridge University Press. doi:10.1017/CCOL521633230.011; Rapach, D. E., Wohar, M. E., & Rangvid, J. (2005). Macro variables and international stock return predictability. International Journal of Forecasting, 21(1), 137-166. https://doi.org/10.1016/j.ijforecast.2004.05.004; Sadorsky, P. (2003). The macroeconomic determinants of technology stock price volatility. Review of Financial Economics, 12(2), 191-205. http://doi.org/10.1016/S1058-3300(02)00071-X; Sarwar, G., & Khan, W. (2016). The Effect of US Stock Market Uncertainty on Emerging Market Returns. Emerging Markets Finance and Trade, 53(8), 1796-1811. http://doi.org/10.1080/1540496X.2016.1180592; Ramírez, S. (2015). Efecto de Variables Macroeconómicas en los Rendimientos Accionarios para los Mercados bursátiles Del MILA: Colombia, Perú y Chile. [Tesis de pregrado, Universidad EAFIT]. Repositorio EAFIT. http://www1.eafit.edu.co/asr/courses/research-practises-me/2015-1/students/proposal-reports/Anteproyecto_SusanaLuna.pdf; Sims, C. A. (1980). Macroeconomics and reality. Econometrica: Journal of the Econometric Society, 48(1), 1-48. https://doi.org/10.2307/1912017; Su, C. (2010). Application of EGARCH Model to Estimate Financial Volatility of Daily Returns: The empirical case of China. [Tesis de maestría, University of Gutemberg]. https://gupea.ub.gu.se/bitstream/2077/22593/1/gupea_2077_22593_1.pdf; https://revistas.unimilitar.edu.co/index.php/rfce/article/view/6413
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5Academic Journal
المصدر: Equidad y Desarrollo
مصطلحات موضوعية: índice de desarrollo humano (IDH), desarrollo económico, desarrollo humano, Valle del Cauca
وصف الملف: application/pdf
Relation: https://ciencia.lasalle.edu.co/eq/vol1/iss41/2; https://ciencia.lasalle.edu.co/context/eq/article/1615/viewcontent/E_26D41_02.pdf
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6Academic Journal
المؤلفون: Candelo Viafara, Juan Manuel, Oviedo-Gómez, Andrés
المصدر: Cuadernos de Economía; Vol. 42 No. 89 (2023); 177-201 ; Cuadernos de Economía; Vol. 42 Núm. 89 (2023); 177-201 ; Cuadernos de Economía; v. 42 n. 89 (2023); 177-201 ; 2248-4337 ; 0121-4772
مصطلحات موضوعية: volatility, financial spillover, exchange rate, energy commodities, C32, E44, G15, volatilidad, derrame financiero, tasa de cambio, materias primas energéticas
وصف الملف: application/pdf
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7Academic Journal
المؤلفون: Rivera Díaz, María del Pilar, Candelo-Viáfara, Juan Manuel, Bonilla Betancourt, Luis Ferney
المصدر: Revista CEA; Vol. 9 No. 20 (2023); e2492 ; Revista CEA; Vol. 9 Núm. 20 (2023); e2492 ; 2422-3182 ; 2390-0725
مصطلحات موضوعية: Environmental impact, occupational risk, integrated matrix, environmental pollution, risk analysis, impacto ambiental, riesgo laboral, matriz integrada, contaminación ambiental, análisis del riesgo
وصف الملف: application/pdf; application/zip; text/xml; text/html
Relation: https://revistas.itm.edu.co/index.php/revista-cea/article/view/2492/2898; https://revistas.itm.edu.co/index.php/revista-cea/article/view/2492/2944; https://revistas.itm.edu.co/index.php/revista-cea/article/view/2492/2945; https://revistas.itm.edu.co/index.php/revista-cea/article/view/2492/2964; American Conference of Governmental Industrial Hygienists. (2020). TLV´s and BEI´s. Threshold Limit Values for Chemical Substances and Physical Agents Biological Exposure Indices. Cincinnati. OH. USA; Alemayehu, Y. A., Asfaw, S. L., y Terfie, T. A. (2020). Exposure to urban particulate matter and its association with human health risks. Environmental Science and Pollution Research, 27(22), 27491-506. https://doi.org/10.1007/s11356-020-09132-1; Almeida, J., Sampaio, P., y Santos, G. (2012). Integrated management systems–quality, environment and health and safety: motivations, benefits, difficulties and critical success factors. 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8Academic Journal
المصدر: Revista Venezolana de Gerencia; Vol. 27 Núm. 7 (2022): Edición Especial ; 612-629 ; 2477-9423 ; 1315-9984
مصطلحات موضوعية: Herramientas bibliométricas, Environmental management, ISO 14001, OHSAS 18001, Health and Safety
وصف الملف: application/pdf; text/html
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9Academic Journal
مصطلحات موضوعية: Incertidumbre, Toma de decisiones, Inteligencia organizacional, Racionalidad, Materias primas energéticas, Uncertainty, Stocks - Prices, Decision making, Business intelligence, Raw materials, Power resources, Rationing, Incertidumbre (Economía), Acciones (Bolsa) - Precios, Inteligencia de negocios, Materias primas, Recursos energéticos, Racionamiento, http://id.loc.gov/authorities/subjects/sh85139563, http://id.loc.gov/authorities/subjects/sh85128230, http://id.loc.gov/authorities/subjects/sh85036199, http://id.loc.gov/authorities/subjects/sh85018300, http://id.loc.gov/authorities/subjects/sh85111583, http://id.loc.gov/authorities/subjects/sh85105992, http://id.loc.gov/authorities/subjects/sh85111523, Mercado financiero, Financial markets, Materia prima, Energy resources, Racionalización
جغرافية الموضوع: Cali de Lat: 03 24 00 N degrees minutes Lat: 3.4000 decimal degrees Long: 076 30 00 W degrees minutes Long: -76.5000 decimal degrees
وصف الملف: 57 páginas; PDF; text/html
Relation: Estudios Gerenciales volumen 38, Numero 162 - 2022; http://repository.icesi.edu.co/biblioteca_digital/handle/10906/92356; https://doi.org/10.18046/j.estger.2022.162.4689; instname: Universidad Icesi; reponame: Biblioteca Digital; repourl: https://repository.icesi.edu.co/
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10Academic Journal
المؤلفون: Candelo Viafara, Juan Manuel, Oviedo Gómez, Andrés
المصدر: Revista Facultad de Ciencias Económicas; Vol. 29 No. 2 (2021); 121-142 ; Revista Facultad de Ciencias Económicas; Vol. 29 Núm. 2 (2021); 121-142 ; Revista Facultad de Ciencias Económicas; v. 29 n. 2 (2021); 121-142 ; 1909-7719 ; 0121-6805
مصطلحات موضوعية: actual exchange rate, FAVAR, economic aggregates, Colombian economy, tasa de cambio real, agregados económicos, economía colombiana, taxa de câmbio real, agregados econômicos, economia colombiana
وصف الملف: application/pdf; text/xml
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Journal of the American Statistical Association, 100(471), 830-840. https://doi.org/10.1198/016214504000002050 Frenkel, R. y Ros, J. (2006). Unemployment and the real exchange rate in Latin America. World Development, 34(4), 631-646. https://doi.org/10.1016/j.worlddev.2005.09.007 Galindo, A., Izquierdo, A. y Montero, J. M. (2007). Real exchange rates, dollarization and industrial employment in Latin America. Emerging Markets Review, 8(4), 284–298. https://doi.org/10.1016/j.ememar.2006.11.002 Geweke, J. (1976). The dynamic factor analysis of economic time series models. University of Wisconsin, 22(1), 37-54. González, S. y Hernández, E. (2016). Impactos indirectos de los precios del petróleo en el crecimiento económico colombiano. Lecturas de Economía, (84), 103-141. https://doi.org/10.17533/udea.le.n84a04 Guzman, M., Ocampo, J. A. y Stiglitz, J. E. (2018). Real exchange rate policies for economic development. World Development, 110, 51-62. https://doi.org/10.1016/j.worlddev.2018.05.017 Hamilton, J. D. (2003). What is an oil shock? Journal of Econometrics, 113(2), 363-398. https://doi.org/10.1016/S0304-4076(02)00207-5 Hamilton, J. D. (1989). A New Approach to the Economic Analysis of Nonstationary Time Series and the Business Cycle. Econometrica, 52(7), 357-384. https://doi.org/10.2307/1912559 Haltiwanger J., Kugler, A., Kugler, M., Micco, A. y Pagés, C. (2004). Effects of tariffs and real exchange rates on job reallocation: evidence from Latin America. The Journal of Policy Reform, 7(4), 191-208. https://doi.org/10.1080/1384128042000285183 Hua, P. (2007). Real exchange rate and manufacturing employment in China. China Economic Review, 18(3), 335–353. https://doi.org/10.1016/j.chieco.2007.02.001 International Monetary Fund (imf). (s. f.) World economic outlook databases. https://www.imf.org/en/Publications/SPROLLS/world-economic-outlook-databases#sort=%40imfdate%20descending Kilian, L. y Vigfusson, R. (2011). Are the responses of the u.s. economy asymmetric in energy price increases and decreases? Quantitative Economics, 2. https://doi.org/10.3982/QE99 Kilian, L. (2009). Not All Oil Price Shocks Are Alike: Disentangling Demand and Supply Shocks in the Crude Oil Market. American Economic Review, 99(3), 1053-69. https://doi.org/10.1257/aer.99.3.1053 Lartey, E. (2008). Capital Inflows, Resource Reallocation and the Real Exchange Rate. International Finance, 11(2), 131-152. https://doi.org/10.1111/j.1468-2362.2008.01222.x Lee, K., Ni, S., Ratti, R.A., 1995. Oil Shocks and the Macroeconomy: The Role of Price Variability. Energy Journal, 16(4), 39-56. https://doi.org/10.5547/ISSN0195-6574-EJ-Vol16-No4-2 Leung, D. y Yuen, T. (2007). Labour Market Adjustments to Exchange Rate Fluctuations: Evidence from Canadian from Canadian Manufacturing Industries. Open Economies Review, 18(2), 177-189. https://doi.org/10.1007/s11079-007-9007-y Mendoza, O. y Vera, D. (2010). The Asymmetric Effects of Oil Shocks on an Oil-Exporting Economy. Cuadernos de Economía, 47(135), 3-13. https://doi.org/10.4067/S0717-68212010000100001 Gov.co, (s. f.). Cifras, datos e indicadores. https://www.minhacienda.gov.co/webcenter/portal/Estadisticas Mork, K. A. (1989). Oil and the Macroeconomy When Prices Go Up and Down: An Extension of Hamilton’s Results. Journal of Political Economy, 97(3), 740-744. https://doi.org/10.1086/261625 Mork, K. A., Olsen, O. y Mysen, H. T. (1994). Macroeconomic Responses to Oil Price Increases and Decreases in Seven oecd Countries. The Energy Journal, 15(4). https://doi.org/10.5547/ISSN0195-6574-EJ-Vol15-No4-2 Neary, P. (1988). Determinants of the equilibrium real exchange rate. American Economic Review, 78(1), 210-215. https://www.jstor.org/stable/1814708 Ostry, J. D. (1988). The Balance of Trade, Terms of Trade, and Real Exchange Rate: An Intertemporal Optimizing Framework. imf Staff Papers, 35(4), 541-573. https://doi.org/10.2307/3867110 Otero, J. (1997). Los determinantes de la tasa de cambio real en Colombia. Coyuntura Económica, 169-180. http://hdl.handle.net/11445/3267 Oviedo-Gómez, A. y Candelo-Viafara, J. M. (2020). Mining and Energy Commodity Price Effects on Colombian Economy. Cuadernos de Administración, 36(67), 93-108. https://doi.org/10.25100/cdea.v36i67.8641 Oviedo, A. F. y Sierra, L. P. (2019). La importancia de los términos de intercambio en la economía colombiana. Revista de la Cepal, (128), 125-154. https://doi.org/10.18356/73298cb5-es Peláez, J. T. y Sierra, L. P. (2016). Does Industrial Employment React to Movements in the Real Exchange Rate? An Empirical Analysis for Colombia, 2000-2010. Latin American Journal of Economics, 53(1), 36-39. http://dx.doi.org/10.7764/LAJE.53.1.39 Perilla, J. R. (2010). El impacto de los precios del petróleo sobre el crecimiento económico en Colombia. Revista de Economía del Rosario, 13(1), 75-116. Phillips, P. C. y Perron, P. (1988). Testing for a unit root in time series regression. Biometrika, 75(2), 335-346. https://doi.org/10.1093/biomet/75.2.335 Pindyck, R. S. (1991). Irreversibility, Uncertainty, and Investment. Journal of Economic Literature, 29, 1110-1148. https://doi.org/10.3386/w3307 Poncela, P., Senra, E. y Sierra, L. P. (2017). Long-term links between raw materials prices, real exchange rate and relative de-industrialization in a commodity-dependent economy: empirical evidence of “Dutch disease” in Colombia. Empirical Economics, 52(2), 777-798. https://doi.org/10.1007/s00181-016-1083-7 Reinhart, C. M. (1995). Devaluation, Relative Prices and International Trade: Evidence from Developing Countries. Staff Papers (International Monetary Fund), 42(2), 290-312. https://doi.org/10.2307/3867574 Revenga, A. (1992). Exporting Jobs? The Impact of Import Competition on Employment and Wages in U. S. Manufacturing. The Quarterly Journal of Economics, 107(1), 255–284. https://doi.org/10.2307/2118329 Rhenals, R. y Saldarriaga, J. (2007). Tasa de cambio real y crecimiento económico en Colombia, 1995-2006: Una exploración inicial. Perfil de Coyuntura Económica, (9), 5-19. Sahin, A. y Cengiz, S. (2011). The real exchange rate and the employment market: Evidence for Turkey by panel cointegration analysis. African Journal of Business Management, 5(14), 5845–5854. https://doi.org/10.5897/AJBM10.1162 Sierra, L. P. y Manrique, L. (2014). Impacto del tipo de cambio real en los sectores industriales de Colombia: una primera aproximación. Revista de la Cepal, 114, 127-142. https://doi.org/10.18356/4f500c15-es Sinnott, E., Nash, J. y De la Torre, A. (2011). Natural Resources in Latin America and the Caribbean: Beyond Booms and Busts? World Bank Latin American and Caribbean Studies. World Bank. https://doi.org/10.1596/978-0-8213-8482-4 Stock, J. H. y Watson, M. W. (2011). Dynamic Factor Models. En M. P. Clements y D. F. Hendry. (Eds.), Oxford Handbook on Economic Forecasting (35-59). Oxford University Press. https://doi.org/10.1093/oxfordhb/9780195398649.013.0003 Stock, J. H. y Watson, M. W. (2005). Implications of dynamic factor models for var analysis. National Bureau of Economic Research, 11467, 1-67. Stock, J. H. y Watson, M. W. (2002). Macroeconomic Forecasting Using Diffusion Indexes. Journal of Business & Economic Statistics, 20(2), 147-162. https://doi.org/10.1198/073500102317351921 Svensson, L. E. O. (2000). Open-Economy Inflation Targeting. Journal of International Economics, 50(1), 155-83. https://doi.org/10.1016/S0022-1996(98)00078-6 Vergara, S. (2005). Dinámica laboral de la industria en Chile. Revista de la Cepal, (86), 147-166. https://doi.org/10.18356/de1e3ce1-es; http://revistas.unimilitar.edu.co/index.php/rfce/article/view/5256
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11Academic Journal
المؤلفون: Oviedo-Gómez, Andres, Candelo-Viafara, Juan Manuel
المصدر: Cuadernos de Administración; Vol. 36 No. 67 (2020); 93-108 ; Cuadernos de Administración; ##issue.vol## 36 ##issue.no## 67 (2020); 93-108 ; Cuadernos de Administración; Vol. 36 Núm. 67 (2020); 93-108 ; 2256-5078 ; 0120-4645
مصطلحات موضوعية: Commodity prices, Economic activity, International trade, Time series analysis, FAVAR model, Precios de materias primas, Actividad económica, Comercio internacional, Análisis de series cronológicas, Modelos FAVAR, Colombia
جغرافية الموضوع: Colombia, periodo 2001-2016
وصف الملف: application/pdf; text/xml
Relation: https://revistas.univalle.edu.co/index.php/cuadernos_de_administracion/article/view/8641/12957; https://revistas.univalle.edu.co/index.php/cuadernos_de_administracion/article/view/8641/14499; https://revistas.univalle.edu.co/index.php/cuadernos_de_administracion/article/view/8641/12985; https://revistas.univalle.edu.co/index.php/cuadernos_de_administracion/article/view/8641
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12Academic Journal
المؤلفون: Candelo-Viáfara, Juan Manuel
المصدر: Escuela de Administración de Negocios; No 88 (2020): Gerencia en la empresa a través de la innovación; 49-62 ; Revista Escuela de Administración de Negocios; Núm. 88 (2020): Gerencia en la empresa a través de la innovación; 49-62 ; Escuela de Administración de Negocios; n. 88 (2020): Gerencia en la empresa a través de la innovación; 49-62 ; 2590-521X ; 0120-8160
مصطلحات موضوعية: Efectividad organizacional, Selección de personal, Administración de personal, Satisfacción en el trabajo, Jornada de trabajo, Rendimiento laboral
وصف الملف: application/pdf; application/xml
Relation: Alles, M. (2008). Comportamiento organizacional. Argentina: Ediciones Granica.; Altman, M. (2007). Effort discretion and economic agency and behavioral economics: transforming economic theory and public policy. En F. Roger (Ed.) Renaissance in behavioral economics Harvey Leibenstein's impact of contemporary economic analysis. (119-159). Nueva York: Routledge. DOI: Alles, M. (2008). Comportamiento organizacional. Argentina: Ediciones Granica. DOI: https://doi.org/10.2139/ssrn.1152105; Altman, M. (2007). Effort discretion and economic agency and behavioral economics: transforming economic theory and public policy. En F. Roger (Ed.) Renaissance in behavioral economics Harvey Leibenstein's impact of contemporary economic analysis. (119-159). Nueva York: Routledge.; Ansorena, A. de. (1996). 15 pasos para la selección de personal con éxito. Barcelona. Editorial Paidos.; Bass, B. M.; Barrett, G. V. (1981). People, work, and organizations: an introduction to industrial and organizational psychology. Boston: Allyn & Bacon.; Berelson, B. (1952). Content analysis in communication research. Nueva York: The Free Press.; Brezhneva, O.; Tret’yakov, A. A.; Wright, S. E. (2012). A short elementary proof of the Lagrange multiplier theorem. Optimization Letters, 6(8), 1597-1601. DOI: https://doi.org/10.1007/s11590-011-0349-4; Bohanec, M.; Urh, B.; Rajkovič, V. (1992). Evaluating options by combined qualitative and quantitative methods. Acta Psychologica, (80), 67-89. DOI: https://doi.org/10.1016/0001-6918(92)90041-B; Boran, S.; Goztepe, K.; Yavuz, E. (2008). A study on election of personnel based on performance measurement by using analytic network process (ANP). International Journal of Computer Science and Network Security, 8(4), 333- 340. Recuperado de https://bit.ly/36OwzJm; Boyatzis, R. E. (1982). The competent manager: a model for effective performance. Nueva York: John Wiley & Sons.; Caldwell, D. F.; O'Reilly III, C. A. (1990). Measuring person-job fit with a profile-comparison process. Journal of Applied Psychology, 75(6), 648-657. DOI: https://doi.org/10.1037/0021-9010.75.6.648; Caraballo, P. (1996). Salarios, productividad y empleo: la hipótesis de los salarios de eficiencia. Revista Cuadernos de Estudios Empresariales, 6, 105-127. Recuperado de https://bit.ly/2XntdK7; Capaldo, G.; Zollo, G. (2001). Applying fuzzy logic to personnel assessment: a case study. Omega, 29(6), 585-597. DOI: https://doi.org/10.1016/S0305-0483(01)00047-0; Chien, C. F.; Chen, L. F. (2008). Data mining to improve personnel selection and enhance human capital: a case study in high-technology industry. Expert Systems with Applications, 34(1), 280-290. DOI: https://doi.org/10.1016/j.eswa.2006.09.003; Christian, M. S.; Garza, A. S.; Slaughter, J. E. (2011). Work engagement: a quantitative review and test of its relations with task and contextual performance. Personnel Psychology, 64(1), 89-136. DOI: https://doi.org/10.1111/j.1744-6570.2010.01203.x; Cobb, C.W.; P.H. Douglas (1928). A theory of production. American Economic Review, 18(1), 139165. Recuperado de www.jstor.org/stable/1811556; Collings, D. G.; Mellahi, K. (2009). Strategic talent management: a review and research agenda. Human Resource Management Review, 19(4), 304-313. DOI: https://doi.org/10.1016/j.hrmr.2009.04.001; Contreras, F. L.; Ramos, M. L. Z. (2016). What is marketing? A study on marketing managers’ perception of the definition of marketing. Forum Empresarial, 21(1), 49-69. DOI: https://doi.org/10.33801/fe.v21i1.4087; Crampton, S. M.; Wagner III, J. A. (1994). Percept-percept inflation in microorganizational research: an investigation of prevalence and effect. Journal of Applied Psychology, 79(1), 67-76. DOI: https://doi.org/10.1037/0021-9010.79.1.67; Dagdeviren, M. (2010). A hybrid multi-criteria decision-making model for personnel selection in manufacturing systems. Journal of Intelligent Manufacturing, 21(4), 451-460. DOI: https://doi.org/10.1007/s10845-008-0200-7; Dagdeviren, M.; Yuksel, I. (2007). Personnel selection using analytic network process. Istanbul Ticaret Universitesi Fen Bilimleri Dergisi Yıl, 6(11), 99-118. Recuperado de https://bit.ly/3cpaIJN; Day, R. A. (2005). Cómo escribir y publicar trabajos científicos. Washington: Organización Panamericana de la Salud. Publicación Científica y Técnica 598. Desormeaux, N. (19 de mayo de 2010). Salarios de eficiencia y productividad Valparaíso, Chile: Universidad Técnica Federico Santa María.; Espitia, Y. P. (2010). La selección por competencias aplicada en la seguridad privada (Trabajo de grado). Facultad de Relaciones Internacionales, Estrategia y Seguridad, Especializacion en Administracion de la Seguridad, Universidad Militar Nueva Granada, Bogotá, Colombia. Recuperado de https://bit.ly/36PiXNO; García-Bernal, J.; Gargallo-Castel, A.; Marzo-Navarro, M.; Rivera-Torres, P. (2005). Job satisfaction: empirical evidence of gender differences. Women in Management Review, 20(4), 279-288. DOI: https://doi.org/10.1108/09649420510599098; Gardiner, A. R.; Armstrong-Wright, D. (2000). Employee selection and anti- discrimination law: implications for multi-criteria group decision support. Journal of Multi-Criteria Decision Analysis, 9, 99-109. DOI: https://doi.org/10.1002/10991360(200001/05)9:1/3%3C99::AID-MCDA271%3E3.0.CO;2-G; Gargallo-López, B. (2008). Estilos de docencia y evaluación de los profesores universitarios y su influencia sobre los modos de aprender de sus estudiantes. Revista Española de Pedagogía, LXVI(241), 425-446. Recuperado de https://bit.ly/2Xqg970; Guest, D. E. (2014). Employee engagement: a skeptical analysis. Journal of Organizational Effectiveness: People and Performance, 1(2), 141-156. DOI: https://doi.org/10.1108/JOEPP-04-2014-0017; Godoy, L. A. (2002). Sobre la estructura de las analogías en ciencias. Interciencia, 27(8), 422-429. Recuperado de https://bit.ly/2TZVSDc; Hamermesh, D. S. (1977). Economic aspects of job satisfaction. En O. Ashenfelter; W. Oates (Ed.) Essays in Labor Market Analysis. (53-72). Nueva York: John Wiley.; Harter, J. K.; Blacksmith, N. (2010). Employee engagement and the psychology of joining, staying in, and leaving organizations. En P. A. Linley; S. Harrington; N. Garcea (Eds.) Oxford handbook of positive psychology and work. (121-130). Oxford: Oxford. DOI: https://doi.org/10.1093/oxfordhb/9780195335446.013.0010; Herriot, P. (2002). Selection and self: selection as a social process. European Journal of Work and Organizational Psychology, 11(4), 385-402. DOI: https://doi.org/10.1080/13594320244000256; Herzberg, F.; Mausner, B.; Snyderman, B. (1959). The motivation to work. Nueva York: John Wiley & Sons.; Hulin, C. L.; Roznowski, M.; Hachiya, D. (1985). Alternative opportunities and withdrawal decisions: empirical and theoretical discrepancies and an integration. Psychological Bulletin, 97(2), 233-250. DOI: https://doi.org/10.1037/0033-2909.97.2.233; Jessop, A. (2004). Minimally biased weight determination in personnel selection. European Journal of Operational Research, 153(2), 433-444. DOI: https://doi.org/10.1016/S03772217(03)00163-2; Jex, S. M.; Gudanowski, D. M. (1992). Efficacy beliefs and work stress: an exploratory study. Journal of Organizational Behavior, 13(5), 509-517. DOI: https://doi.org/10.1002/job.4030130506; Judge, T. A.; Watanabe, S. (1993). Another look at the job satisfaction-life satisfaction relationship. Journal of Applied Psychology, 78(6), 939-948. DOI: https://doi.org/10.1037/00219010.78.6.939; Kahn, W. A. (1990). Psychological conditions of personal engagement and disengagement at work. Academy of Management Journal, 33(4), 692-724. DOI: https://doi.org/10.5465/256287; Karsak, E. E.; Sozer, S.; Alptekin, S. E. (2003). Production planning in quality function deployment using a combined analytical network process and goal programming approach. Computers and Industrial Engineering, 44(1), 171-190. DOI: https://doi.org/10.1016/S0360-8352(02)00191-2; Kristof, A. L. (2006). Person-organization fit: an integrative review of its conceptualizations, measurement, and implications. Personnel Psychology, 49(1), 1-49. DOI: https://doi.org/10.1111/j.1744-6570.1996.tb01790.x; Lee-Ross, D. (1993). Two styles of management, two types of worker. International Journal of Contemporary Hospitality Management, 5(4), 20-24. DOI: https://doi.org/10.1108/09596119310042073; Liang, S. L.; Wang, M. J. (1994). Personnel selection using Fuzzy MCDM Algorithm. European Journal of Operational Research, 78(1), 22-33. DOI: https://doi.org/10.1016/03772217(94)90119-8; Lin, H. C. (2010). Personnel selection using analytic network process and fuzzy data envelopment analysis approaches. Computers & Industrial Engineering, 59(4), 937-944. DOI: https://doi.org/10.1016/j.cie.2010.09.004; Macey, W. H.; Schneider, B. (2008). The meaning of employee engagement. Industrial and Organizational Psychology: Perspectives on Science and Practice, (1), 3-30. DOI: https://doi.org/10.1111/j.1754-9434.2007.0002.x; Mangione, T. W.; Quinn, R. P. (1975). Job satisfaction, counterproductive behavior, and drug use at work. Journal of Applied Psychology, 60(1), 114-116. DOI: https://doi.org/10.1037/h0076355; Maslow, A. H. (1954). Motivación y personalidad. Nueva York: Harper & Row.; May, D. R.; Gilson, R. L.; Harter, L. M. (2004). The psychological conditions of meaningfulness, safety and availability and the engagement of the human spirit at work. Journal of Occupational and Organizational Psychology, 77, 11-37. DOI: https://doi.org/10.1348/096317904322915892; Mayo, E. (1933). The human problems of an industrial civilization. Salem, NH: Ayer.; Mincer, J. (Septiembre de 1991). Education and unemployment (Working paper No. w3838). Cambridge, National Bureau of Economic Research. DOI: https://doi.org/10.3386/w3838; Morgeson, F. P.; Dierdorff, E. C. (2011). Work analysis: from technique to theory. En S. Zedeck (Ed.), APA Handbook of Industrial and Organizational Psychology. (Vol. 2, 3-41). Washington, DC: American Psychological Association. DOI: https://doi.org/10.1037/12170-001; Palmore, E. (1969). Predicting longevity: a follow-up controlling for age. The Gerontologist, 9(4), 247-250. DOI: https://doi.org/10.1093/geront/9.4_Part_1.247; Rodríguez, N.; Feliú, P. (1996). Curso básico de psicometría. Caracas: Escuela de Psicología, Universidad Central de Venezuela.; Romer, D. (2002). Macroeconomía avanzada (2 ed.). Madrid: McGraw-Hill.; Saks, A. M.; Gruman, J. A. (2011). Getting newcomers engaged: the role of socialization tactics. Journal of Managerial Psychology, 26(5), 383-402. DOI: https://doi.org/10.1108/02683941111139001; Schaubroeck, J.; Ganster, D. C.; Fox, M. L. (1992). Dispositional affect and work-related stress. Journal of Applied Psychology, 77(3), 322-335. DOI: https://doi.org/10.1037/00219010.77.3.322; Shafritz, J. M.; Ott, J. S.; Jang, Y. S. (2015) Classics of organization theory. UK: Cengage Learning.; Solow, R. M. (1979). Another possible source of wage stickiness. Journal of Macroeconomics, 1(1), 79-82. DOI: https://doi.org/10.1016/0164-0704(79)90022-3; Spence, M. (1973). Market signalling: information transfer in hiring and related processes. Cambridge: Harvard University Press.; Spencer, L. M.; Spencer, S. M. (1993). Competence at work. Nueva York: Jhon Wiley & Sons.; Spyridakos, A.; Siskos, Y.; Yannacopoulos, D.; Skouris, A. (2001). Multicriteria job evaluation for large organizations. European Journal of Operational Research, 130(2), 375-387. DOI: https://doi.org/10.1016/S0377-2217(00)00039-4; Taylor, F. W. (1914). Scientific management: reply from Mr. FW Taylor. The Sociological Review, 7(3), 266-269. DOI: https://doi.org/10.1111/j.1467-954X.1914.tb02387.x; Timmermans, D.; Vlek, C. (1992). Multi-attribute decision support and complexity: an evaluation and process analysis of aided versus unaided decision making. Acta Psychologica, 80(13), 49-65. DOI: https://doi.org/10.1016/0001-6918(92)90040-K; Vance, R. J. (2006). Employee engagement and commitment: a guide to understanding, measuring, and increasing engagement in your organization; effective practice guidelines. Alexandria, VA: Society for Human Resource Management.; Verquer, M. T.; Beehr, T. A.; Wagner, S. H. (2003). A meta-analysis of the relationship between person-organization fit and work-related attitudes. Journal of Vocational Behavior, 63(3), 473-489. DOI: https://doi.org/10.1016/S0001-8791(02)00036-2; Vásquez, G. (2008). Las ventas en el contexto gerencial latinoamericano. Temas de Management, 6(2), 16-22. Recuperado de https://bit.ly/2MlyETy; Weinert, A. B. (1985). Manual de psicología de la organización: la conducta humana en las organizaciones. Barcelona: Herder.; Woodruffe, C. (1993). What is meant by a competency? Leadership & Organization Development Journal, 14(1), 29-36. https://doi.org/10.1108/eb053651; Zellmer, A. J.; Allen, T. F.; Kesseboehmer, K. (2006). The nature of ecological complexity: a protocol for building the narrative. Ecological Complexity, 3(3), 171-182. DOI: https://doi.org/10.1016/j.ecocom.2006.06.002; https://journal.universidadean.edu.co/index.php/Revista/article/view/2498/2013; https://journal.universidadean.edu.co/index.php/Revista/article/view/2498/2199; https://journal.universidadean.edu.co/index.php/Revista/article/view/2498
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13Book
المؤلفون: Macías, Hugo, Ortiz Viáfara, Claudia, Rodríguez Tovar, Maira Alexandra, Ruiz Urquijo, Juan Carlos, Bustos Galindo, Jorge Luis, Bermejo Esquivel, Yuri Lorena, Jiménez Barrera, Miguel Hernán, Oviedo Gómez, Andrés Felipe, Cándelo Viafara, Juan Manuel, Ureña, Juan Carlos, Gil, Estefany
المساهمون: Poveda Aguja, Fernando Augusto, Quintero Rengifo, Edward Ferney
المصدر: reponame:Colecciones Digitales Uniminuto ; instname:Corporación Universitaria Minuto de Dios
مصطلحات موضوعية: Contaduría pública, Ética, Medio ambiente, Sociedad, Educación, Accounting research, Accounting streams, Agricultural, Climate change, Data panel, Research accounting, Family business, Microenterprises, Development, Informality, Microcredit, Public accounting, Traditional distance, Higher education, Sociología
جغرافية الموضوع: Bogotá D.C.
وصف الملف: application/pdf
Relation: Macías, H., Viáfara, C., Rodríguez, M., Ruiz, J., Bustos, J., Bermejo, Y., Gil, E. (2018). Medio ambiente, sociedad, ética y educación: reflexiones desde la disciplina contable. Bogotá D.C., Colombia: Corporación Universitaria Minuto de Dios; http://hdl.handle.net/10656/6550
الاتاحة: http://hdl.handle.net/10656/6550
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14Electronic Resource
المصدر: Cuadernos de economía ( Santafé de Bogotá ), ISSN 0121-4772, Vol. 42, Nº. 89, 2023, pags. 177-201
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15Book
المصدر: Handbook on Decision Making ; Intelligent Systems Reference Library ; page 253-271 ; ISSN 1868-4394 1868-4408 ; ISBN 9783031082450 9783031082467
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16Academic Journal
المؤلفون: Candelo-Viafara, Juan Manuel
مصطلحات موضوعية: Real exchange rate, Dutch disease, Cointegration, Vecm, Var, Oil prices, Cointegración, Enfermedad holandesa, Precios del petróleo, Tasa de cambio real, Cointegração, Doença holandesa, Preços do petróleo, Taxa de câmbio real
وصف الملف: application/pdf; text/html; application/vnd.openxmlformats-officedocument.wordprocessingml.document; text/xml
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Oil shocks and macroeconomy: The role of price variability. The Energy Journal, 16(4), 39-56.; Leung, D. y T Yuen (2007). Labour market adjustments to exchange rate fluctuations: Evidence from Canadian manufacturing industries. Open Economies Review, 18, 177-189.; Martínez, H. (2006). Agroindustria y competitividad, estructura y dinámica Colombia 1992-2006. Recuperado de http://bibliotecadigital.agronet.gov.co/bitstream/11348/6372/1/179.pdf; Mendoza, O. y Vera, D. (2010). The asymmetric effects of oil shocks on an oil-exporting Economy. Cuadernos de Economía, 47(135), 3-13.; Mork, K. A. (1989). Oil and the macroeconomy when prices go up and down: An extension of Hamilton's results. Journal of Political Economy, 97(3), 740-744.; Mork, K. A., Olsen, 0. y Mysen, H. T (1994). Macroeconomic responses to oil price increases and decreases in seven OECD countries. The Energy Journal, 15(4), 19-35.; Peláez, J. T y Sierra, L. P (2016). 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H. y Watson, M. A. (1990). Inference in linear time series models with some unit roots. Econometrica, 58(1), 113-144.; Tokarick, S. (1995). External shocks, the real exchange rate and tax policy. IMF Staff Papers, 42, 49-79.; Uribe, J. y Ulloa, I. (2011). Otro país exportador neto de petróleo y sus reacciones macroeconómicas ante cambios del precio: Colombia [Documentos de Trabajo, 140]. Cali: Universidad del Valle.; Vargas, H., Hamann, F. y González, A. (2010). Efectos de la política monetaria sobre las tasas de interés de los créditos hipotecarios en Colombia. Borradores de Economía, 592, 1-11. Recuperado de http://www.banrep.gov.co/es/borrador-592; https://hdl.handle.net/10983/29395; https://doi.org/10.14718/revfinanzpolitecon.2018.10.2.9
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17Academic Journal
Alternate Title: Proposal of an Integrated Tool for Identifying Environmental Impacts and their Effect on Human Health in Two Companies in Valle del Cauca (Colombia). (English)
المؤلفون: Pilar Rivera Díaz, María del, Candelo Viafara, Juan Manuel, Bonilla Betancourt, Luis Ferney
المصدر: Revista CEA; may-aug2023, Vol. 9 Issue 20, p1-31, 31p
مصطلحات موضوعية: POLLUTION, SMALL business, ACQUISITION of data, POLLUTANTS, DATA analysis
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18
المؤلفون: Candelo Viafara, Juan Manuel, Oviedo Gómez, Andrés
المصدر: Revista Facultad de Ciencias Económicas; Vol. 29 No. 2 (2021); 121-142
Revista Facultad de Ciencias Económicas; Vol. 29 Núm. 2 (2021); 121-142
Revista Facultad de Ciencias Económicas; v. 29 n. 2 (2021); 121-142مصطلحات موضوعية: tasa de cambio real, agregados económicos, taxa de câmbio real, FAVAR, agregados econômicos, economic aggregates, Colombian economy, economia colombiana, actual exchange rate, economía colombiana
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19Academic Journal
المؤلفون: Candelo-Viafara, Juan Manuel, Oviedo-Gómez, Andrés
المصدر: Revista Facultad de Ciencias Económicas: Investigación y Reflexión ; Revista Facultad de Ciencias Económicas: Investigación y Reflexión v.29 n.2 2021
Relation: 10670/1.gb1hv9; http://www.scielo.org.co/scielo.php?script=sci_arttext&pid=S0121-68052021000200121
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20Academic Journal
المؤلفون: Candelo Viáfara, Juan Manuel
المصدر: Lecturas de Economía ; Lecturas de Economía n.95 2021
Relation: 10670/1.hxcjvo; http://www.scielo.org.co/scielo.php?script=sci_arttext&pid=S0120-25962021000200085