Gestión de riesgos financieros: experiencia en un banco latinoamericano

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2012-11-21

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Universidad ICESI

Abstract

The present document attempts to present the basic concepts of financial risk present in a bank, and in particular will present the case of a Peruvian bank, taking into accounts aspects such as risk management, the Third Basel Accord (Basel III) and the international financial crisis. The case was developed in the last quarter of 2012 in the Peruvian market.
El presente documento busca presentar los principales conceptos de riesgos financieros presentes en la banca; en particular, se trabajará el caso de un banco peruano, considerando aspectos tales como la gestión de riesgos, Basilea III y la crisis económica internacional. El caso se desarrolla en el primer semestre del 2012 en el mercado peruano.

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Keywords

Basel III, Risk management, Basilea III, Gestión de riesgos, Peruvian financial system, Sistema financiero peruano

Citation

Lizarzaburu, E. R., Berggrun, L., Quispe, J. (2012). Gestión de riesgos financieros: experiencia en un banco latinoamericano. Estudios Gerenciales, 28(125), 96-103. https://doi.org/10.1016/S0123-5923(12)70012-8

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