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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 ...
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 ...
Guía para diagnosticar riesgo de mercado para cooperativas financieras en el Valle de Aburra
Whenever investment decisions there is market risk, therefore financial cooperatives are constantly exposed to them. To try to avoid them is necessary to identify, measure and define the methods to control them. The aim ...
Alternativas de ahorro e inversión para personas naturales en los tres principales bancos de Colombia: Bancolombia, Banco de Bogotá y banco Davivienda para el año 2010
The Colombian banking system has been taking such an importance to population in the everyday life. Those inhabitants directly or indirectly have seen the necessity to turn to bank premises in order to solve their saving, ...