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Metodología de inversiones en el mercado accionario colombiano
The Colombian share trade is every day more important for the country economy. The little an big investments had demonstrate an important interesting put into this trade because offer stability, profit and, depends of the ...
Metodología para estimar el deterioro de cartera de crédito de libre destinación sin libranza otorgado por instituciones de crédito a personas naturales en Colombia.
The work is aimed at the methodology implementation for estimating the credit portfolio deterioration of free destination or consumption credit institutions using the CAMEL model which is based on financial indicators, ...
Mitigación del riesgo de lavado de activos en las operaciones de comercio exterior en las empresas del sector real en Colombia
The resent work of Grade makes reference to the mitigation of the risks of money laundering in the operation of exterior commerce in the real estate market in Colombia. Included are proposed criteria and strategies in this ...
Modelo de selección de portafolio óptimo de acciones usando el modelo de Black-Litterman
The diversification of investment portfolios and their optimization is a central topic in the finance environment, for this reason this work find establish a model that allows to the operators of markets, such as stockbrokers, ...
Portafolio de inversiones para personas naturales con excedentes de liquidez
The options offered by the Colombian market in terms of capital market issues are wide, although there is a great variety of procedures. Capital investment becomes a great tool for investors in order to move their money ...
Diseño de un modelo predictivo de seguimiento de riesgo de crédito para la cartera comercial, para una entidad financiera del Valle de Aburrá
National financial entities receiving public resources (and therefore regulated by Superintendencia Financiera de Colombia), which trade purpose is to efficiently place resources in the market for those customers given a ...
Modelo integrado de gestión basado en la teoría de restricciones y la gestión del riesgo operativo
The purpose of this work was develop an integrated management model based on the Theory of Constraints (henceforth called TOC - Theory of Constrains) and operational risk management that allows optimize them. From the ...
Estrategia financiera de inversión basada en terremotos para divisas asociadas con el peso chileno y peso mexicano
In Colombia is very common the acceptance for the financial markets that are created in the major economies of the world, this explains that in Colombia are available all the financial markets that compose the financial ...