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Diseño de un portafolio de inversión de renta variable con instrumentos financieros colombianos bajo la metodología de cartera eficiente de Harry Markowitz
This work aims to design an equity investment portfolio with Colombian financial instruments under the methodology of efficient portfolio of Harry Markowitz. This theory is based on the first approach of mathematics and ...
Metodología para el cálculo de la matriz “Rentabilidad-Riesgo” en las líneas de negocio de la empresa Gases A.L.A.
This senior thesis has been done with the objective to apply the Economic Value Added (EVA) in measuring the business value of lines of business from company “Gases A. L. A”. Because this methodology financial performance ...