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Estructuración de ETF (Exchange Traded Fund) renta variable de Latinoamérica –LATAM (Brasil, Chile, Colombia, México Y Perú)
In this paper the advantages and disadvantages of the Exchange are evaluated Traded Funds (ETF `s) considering that they have certain characteristics that differ from traditional titles, including diversification, the most ...
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 ...
Las opciones financieras: una alternativa para mitigar el riesgo de la volatilidad en los precios de los productos agropecuarios con análisis del café y cacao en el departamento de Antioquia
In the farming activity there are several risks of economic, social, politic, legal and environmental nature, which have a direct effect on the production task and therefore the sale prices of these farming products have ...
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 ...
Métodos paramétricos de medición del valor en riesgo, aplicados a opciones financieras sobre divisas
Regulators and financial institutions are increasingly interested in estimating the value-at-risk of the traded assets in the capital markets; the former in order to define their control scheme and the latter with the ...
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, ...
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 ...
Análisis de combustibles fósiles en el mercado de generación de energía eléctrica en Colombia: un contraste entre modelos de volatilidad
The importance of the electricity sector in the growth of economies, encourages the study of the variables that determine the implementation of new investment projects in the sector. The barriers in the availability of ...
Portafolio de inversión óptimo en renta variable en los principales mercados emergentes
The study presents the comparative results in the optimisation of portfolio investment in equity in major emerging markets, as a topic important for decision-making in the field of financial management, especially to take ...