Emerging Markets Integration in Latin America (MILA) Stock Market Indicators: Chile, Colombia, and Peru

Edmundo Lizarzaburu, Kurt Burneo, Hamilton Herbert Galindo, Luis Berggrun
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引用次数: 28

Abstract

This study aims to determine the impact of the Latin American Integrated Market (MILA) start-up in the main indicators of the stock markets of the countries that conform it (Chile, Colombia, and Peru). At the end, several indicators were reviewed to measure the impact on profitability, risk, correlation, and trading volume between markets, using indicators such as: annual profitability, standard deviation, correlation coefficient, and trading volume. The sample period runs from November 2008 to August 2013; and involves the three stock markets associated with MILA: Bolsa de Comercio de Santiago (BCS), Bolsa de Valores de Colombia (BVC) y Bolsa de Valores de Lima (BVL). An additional evaluation for further research would consist of the calculation of relevant indicators to corroborate the validity of the effects found in this investigation corresponding to the integration of the stock exchanges of Lima, Santiago and Bogota, after the integration of the Mexican stock exchange that occurred in 2014.
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拉丁美洲新兴市场一体化(MILA)股票市场指标:智利、哥伦比亚和秘鲁
本研究旨在确定拉丁美洲一体化市场(MILA)启动对符合它的国家(智利、哥伦比亚和秘鲁)股票市场主要指标的影响。最后,利用年度盈利能力、标准差、相关系数、交易量等指标,对市场之间的盈利能力、风险、相关性和交易量的影响进行了评估。样本期为2008年11月至2013年8月;并涉及与MILA相关的三个股票市场:圣地亚哥商业交易所(BCS)、哥伦比亚证券交易所(BVC)和利马证券交易所(BVL)。进一步研究的额外评估将包括计算相关指标,以证实在2014年墨西哥证券交易所整合之后,利马、圣地亚哥和波哥大证券交易所整合所产生的调查结果的有效性。
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