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Gestión de riesgos en inversiones de renta fija en Colombia
This paper aims to describe the mechanisms to identify measure, control and minimize the various financial risks faced by an investor at the time of investment in the fixed income market in Colombia.
The methodology used ...
Análisis de la relación entre el comportamiento de los portafolios de renta variable de valores Bancolombia y los cambios de política monetaria en EEUU.
Throughout history there have been several falls and recession in the economy due to lacks on the monetary policies or wrongly structured ones, therefore this paper finds opportune to investigate about the effects caused ...
Diseño de un sistema de costos para la empresa comercializadora Aldus Ltda
The administrative changes that have been presented in the administration of the company "COMERCIALIZADORA ALDUS LTDA” didn't always have a good control of budgets for the production areas and sales; neither of the costs ...
Detección de posibles variables a considerar en la viabilidad de microcréditos en el sector agropecuario colombiano
Microcredit is a really important topic in the society and when it's well used, it becomes on a financial inclusion strategy which allows the vulnerable population entrepreneurship as the Colombian agricultural sector. ...
Mapa estratégico de instrumentos financieros para el manejo de la liquidez de la Cooperativa de Profesores de la Universidad de Antioquia (COOPRUDEA)
This research had a primary objective to make a financial analysis of Cooprudea, enabling us to design a strategic map of financial instruments to invest excess liquidity, which were generated in the operation of the ...
Negociación de Exchange Traded Funds (ETF): aportes para el mercado integrado latinoamericano (2012-2013)
The Exchange Traded Funds (ETFs) are funds traded in the same way that the shares in various financial markets around the world. Most seek to replicate a stock market index or another particular index. This investment ...