@bachelorthesis{10336/10158, author = {Gallegos, Sebastian}, year = {2015}, url = {http://repository.urosario.edu.co/handle/10336/10158}, abstract = {The world of finance is divided by financial management, financial economics, investments, personal finance and public finance. Although the topics to be studied in greater depth will be; financial management, financial savings and investments (Brigham, 2009). Based on the above, throughout this document a relationship between investment management and business strategy will take into account that the ultimate goal is to develop a useful methodology from strategy that serves as a guide for the creation of portfolios of assets listed on the Stock Exchange of Colombia taking into account the three risk profiles (High, Moderate, Adverse risk) and also in the process of making investment decisions work as a tool to improve the chances in making decisions investment for individuals in their role as investors.}, organization = {Universidad del Rosario}, keywords = {Acciónes}, keywords = {Portafolios}, keywords = {Rentabilidad}, keywords = {Riesgo}, keywords = {Volatilidad}, keywords = {Estrategia}, title = {Procedimiento estratégico de gestión de inversiones para personas naturales en el mercado bursátil colombiano}, publisher = {Universidad del Rosario}, keywords = {stocks}, keywords = {portfolio}, keywords = {rentability}, keywords = {Risk}, keywords = {volatility}, keywords = {strategy}, }