Bibliographic citations
This is an automatically generated citacion. Modify it if you see fit
Malca, Y., Vereau, M. (2022). Crisis financiera y su impacto en la economía peruana, periodo 2001- 2021 [Tesis, Universidad Privada Antenor Orrego]. https://hdl.handle.net/20.500.12759/9817
Malca, Y., Vereau, M. Crisis financiera y su impacto en la economía peruana, periodo 2001- 2021 [Tesis]. PE: Universidad Privada Antenor Orrego; 2022. https://hdl.handle.net/20.500.12759/9817
@misc{renati/378253,
title = "Crisis financiera y su impacto en la economía peruana, periodo 2001- 2021",
author = "Vereau Alfaro, Melissa Tatiana",
publisher = "Universidad Privada Antenor Orrego",
year = "2022"
}
Title: Crisis financiera y su impacto en la economía peruana, periodo 2001- 2021
Advisor(s): Yupanqui Vaca, Jorge Luis
Keywords: Crisis Financiera; Actividad Económica
OCDE field: http://purl.org/pe-repo/ocde/ford#5.02.01
Issue Date: 2022
Institution: Universidad Privada Antenor Orrego
Abstract: El presente trabajo de investigación tiene por objetivo determinar el impacto de la
crisis financiera en la actividad económica peruana durante el periodo 2001-2021.
El diseño aplicado de investigación fue explicativo y no experimental. Se utilizo una
muestra correspondiente a series de tiempo de 84 trimestres, comprendidos entre
enero de 2001 y diciembre del 2021. Asimismo, el modelo econométrico utilizado
para comprobar la hipótesis fue de Mínimos Cuadrado Ordinarios (MCO).
Las conclusiones son: Durante el periodo 2001-2021, el Perú alcanzó un
crecimiento alto en el periodo 2001-2008, moderándose en el resto de años, esto
debido al buen manejo macroeconómico; asimismo, durante dicho periodo han
ocurrido diversos episodios de estrés financiero por encima de su valor normal;
siendo el más pronunciado durante el 2007 y fines del 2008 con el estallido de la
crisis financiera internacional, lo cual impactó de manera negativa en la actividad
económica peruana. Esto no solo se evidencia en la fuerte desaceleración del
crecimiento económico, el cual pasó de 9.1% a 1.1% del 2008 al 2009, sino que
también se refleja en el parámetro que relaciona el estrés financiero con el PBI del
Perú, siendo dicho parámetro -0.09. Finalmente, los hallazgos de esta investigación
reflejan que la crisis financiera del 2008 impacto de manera inversa y significativa
en la economía del país.
The objective of this research work is to determine the impact of the financial crisis on Peruvian economic activity during the period 2001-2021. The applied research design was explanatory and not experimental. A sample corresponding to time series of 84 quarters, between January 2001 and December 2021, was used. Likewise, the econometric model used to test the hypothesis was Ordinary Least Squares (OLS). The conclusions are: During the 2001-2021 period, Peru achieved high growth in the 2001-2008 period, moderating in the rest of the years, due to good macroeconomic management; likewise, during said period there have been several episodes of financial stress above its normal value; being the most pronounced during 2007 and the end of 2008 with the outbreak of the international financial crisis, which had a negative impact on Peruvian economic activity. This is not only evidenced in the sharp slowdown in economic growth, which went from 9.1% to 1.1% from 2008 to 2009, but is also reflected in the parameter that relates financial stress to Peru's GDP, said parameter being - 0.09. Finally, the findings of this research reflect that the financial crisis of 2008 had an inverse and significant impact on the country's economy
The objective of this research work is to determine the impact of the financial crisis on Peruvian economic activity during the period 2001-2021. The applied research design was explanatory and not experimental. A sample corresponding to time series of 84 quarters, between January 2001 and December 2021, was used. Likewise, the econometric model used to test the hypothesis was Ordinary Least Squares (OLS). The conclusions are: During the 2001-2021 period, Peru achieved high growth in the 2001-2008 period, moderating in the rest of the years, due to good macroeconomic management; likewise, during said period there have been several episodes of financial stress above its normal value; being the most pronounced during 2007 and the end of 2008 with the outbreak of the international financial crisis, which had a negative impact on Peruvian economic activity. This is not only evidenced in the sharp slowdown in economic growth, which went from 9.1% to 1.1% from 2008 to 2009, but is also reflected in the parameter that relates financial stress to Peru's GDP, said parameter being - 0.09. Finally, the findings of this research reflect that the financial crisis of 2008 had an inverse and significant impact on the country's economy
Link to repository: https://hdl.handle.net/20.500.12759/9817
Discipline: Economía
Grade or title grantor: Universidad Privada Antenor Orrego. Facultad de Ciencias Económicas
Grade or title: Economista con Mención en Finanzas
Juror: Angulo Burgos, Manuel; Amaya Lau, Luis; Lavado Muñoz, Auberto
Register date: 5-Dec-2022
This item is licensed under a Creative Commons License