To make financial decisions that bring to minimizing risks, involves managing a number of economic instruments, mathematical or statistical. From this viewpoint, we can say that the investor call speculator will be better positon with his portfolio, if your selection has been used for the most varied instruments offered by the different scientific disciplines. Either technical or fundamental analysis requires the use of these tools, with these the decisions acceptable, this requirement should be given far more rigorously the characteristics of market interdependence. So then presents the reader with a methodological note for the use of two basic statistical tools to choose the best financial position: The standard deviation and coefficient ...
Since the innovative work of Kahneman and Tversky (1979), behavioral finance has become one of the ...
En el presente trabajo, se pretende dar una guía de cómo invertir de acuerdo a nuestras expectativas...
GOMERO Gonzales, Nicko A. Análisis de activos financieros utilizando herramientas estadísticas: desv...
To make financial decisions that bring to minimizing risks, involves managing a number of economic i...
A common feature of the markets where financial assets are traded in equity and fixed, is its volati...
El acceso a nuevos mercados y la globalización ha propiciado el surgimiento de riesgos de mercado d...
By nature, the stock market and the shares that it is negotiated, are characterized by their high de...
Siempre que se tomen decisiones de inversión existe un riesgo de mercado, por consiguiente las Coope...
In recent years, there has been a constant concern about the administration of the delinquency of mi...
Through a study of potential scenarios that regularly face entities with long-term liabilities (Insu...
This work hopes to offer a guide to investment given our rational or fundamentalist expectations ab...
The high level of quantitative development that is being applied in the creation of investment portf...
Financial valuation of an investment project is considered as an objective and monetary analysis of ...
Se plantea que el Análisis técnico de Valores no es la panacea en la toma de decisiones a la hora d...
El propósito de los Contadores en la Planificación Financiera es minimizar el riesgo y aprovechar la...
Since the innovative work of Kahneman and Tversky (1979), behavioral finance has become one of the ...
En el presente trabajo, se pretende dar una guía de cómo invertir de acuerdo a nuestras expectativas...
GOMERO Gonzales, Nicko A. Análisis de activos financieros utilizando herramientas estadísticas: desv...
To make financial decisions that bring to minimizing risks, involves managing a number of economic i...
A common feature of the markets where financial assets are traded in equity and fixed, is its volati...
El acceso a nuevos mercados y la globalización ha propiciado el surgimiento de riesgos de mercado d...
By nature, the stock market and the shares that it is negotiated, are characterized by their high de...
Siempre que se tomen decisiones de inversión existe un riesgo de mercado, por consiguiente las Coope...
In recent years, there has been a constant concern about the administration of the delinquency of mi...
Through a study of potential scenarios that regularly face entities with long-term liabilities (Insu...
This work hopes to offer a guide to investment given our rational or fundamentalist expectations ab...
The high level of quantitative development that is being applied in the creation of investment portf...
Financial valuation of an investment project is considered as an objective and monetary analysis of ...
Se plantea que el Análisis técnico de Valores no es la panacea en la toma de decisiones a la hora d...
El propósito de los Contadores en la Planificación Financiera es minimizar el riesgo y aprovechar la...
Since the innovative work of Kahneman and Tversky (1979), behavioral finance has become one of the ...
En el presente trabajo, se pretende dar una guía de cómo invertir de acuerdo a nuestras expectativas...
GOMERO Gonzales, Nicko A. Análisis de activos financieros utilizando herramientas estadísticas: desv...