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Luis Berggrun
Luis Berggrun
CESA Business School
Verified email at cesa.edu.co
Title
Cited by
Cited by
Year
Intrducción al análisis de riesgos financiero
L Berggrun
Ecoe Ediciones, 2011
1472011
Gestión de riesgos financieros. Experiencia en un banco latinoamericano1
ER Lizarzaburu, L Berggrun, J Quispe
Estudios gerenciales 28 (125), 96-103, 2012
1282012
Dividend payout policies: evidence from Latin America
J Benavides, L Berggrun, H Perafan
Finance Research Letters 17, 197-210, 2016
1012016
Emerging markets integration in Latin America (MILA) stock market indicators: Chile, Colombia, and Peru
ERL Bolanos, K Burneo, H Galindo, L Berggrun
Journal of Economics, Finance and Administrative Science 20 (39), 74-83, 2015
682015
Fund flows and performance in Brazil
L Berggrun, E Lizarzaburu
Journal of Business Research 68 (2), 199-207, 2015
542015
Idiosyncratic volatility and stock returns: Evidence from the MILA
L Berggrun, E Lizarzaburu, E Cardona
Research in International Business and Finance 37, 422-434, 2016
522016
La fusión de Bancolombia, Conavi y Corfinsura: una aplicación de la metodología de estudio de eventos
L Berggrun
Estudios Gerenciales 22 (100), 83-102, 2006
332006
Firm profitability and expected stock returns: Evidence from Latin America
L Berggrun, E Cardona, E Lizarzaburu
Research in International Business and Finance 51, 1-12, 2020
302020
Optimal portfolio allocation for Latin American stock indices
M Arcos Mora, J Benavides Franco, L Berggrun Preciado
Cuadernos de administración 23 (40), 191-214, 2010
242010
Gestión del riesgo cambiario: aplicación a una empresa exportadora peruana
E Lizarzaburu, L Berggrun
Estudios Gerenciales 29 (128), 379-384, 2013
212013
Extreme Daily Returns and the Cross-Section of Expected Returns: Evidence from Brazil
L Berggrun, E Cardona, E Lizarzaburu
Journal of Business Research 102, 201-211, 2019
192019
Profitability of momentum strategies in Latin America
L Berggrun, E Cardona, E Lizarzaburu
International Review of Financial Analysis 70, 101502, 2020
182020
Persistence in equity fund performance in Brazil
L Berggrun, S Mongrut, B Umaña, G Varga
Emerging Markets Finance and Trade 50 (2), 16-33, 2014
182014
Business financing in Colombia: The debt and equity mix
J Benavides, L Berggrun
Academia. Revista Latinoamericana de Administración, 17-29, 2012
13*2012
El riesgo operacional, SAE16 y as5: herramientas de control y mejora
K Burneo, L Berggrun, E Lizarzaburu
Strategy y Management Business Review 4 (1), 43-63, 2013
112013
Intrducción al análisis de riesgos financiero
J Alfonso, L Berggrun
Bogotá: Ecoe Ediciones, 2015
102015
Corporate governance in emerging markets and its impact on finance performance
E Lizarzaburu Bolaños, L Berggrun, KJ Burneo Farfan
Virtus Interpress, 2014
102014
Cómo crear un portafolio de inversión con las opciones que ofrecen los fondos de pensiones voluntarias en Colombia: El caso de Skandia
L Berggrun Preciado, V Camacho Roger
Estudios gerenciales 25 (113), 229-241, 2009
102009
Risk of insolvency and return of shares: empirical analysis of Altman's Z-Score in the Peruvian mining sector between 2008 and 2018
ER Lizarzaburu, K Burneo, L Berggrun
Revista Universidad y Empresa 23 (40), 67-99, 2021
82021
Currency hedging for a Dutch investor: The case of pension funds and insurers
L Berggrun
DNB Working papers, Netherlands Central Bank, Research Department, 2005
82005
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Articles 1–20