Abstract

The purpose of this research was to determine the mathematical relation between , the financial country factors and the companies sectors that quoted on the Mexican Stock Exchange in 2000-2011 periods.The long term debt was the dependent variable and through the E-views 7.0 program, the panel data technique was applied in order to determine the mathematical relation between the independent factors.The mathematical model and the factors for this empirical study were identified and used in the research as discussion into the theoretical framework.

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