Análisis financiero en incertidumbre: una propuesta metodológica

Descripción del Articulo

One of the tasks that financial managers must accomplish on a regular basis is the financial analysis of the firm. Although there are many tools available within certainty, stochastic and fuzzy paradigms, it is not clear which tools are particularly useful in which paradigms, nor how the tools can b...

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Detalles Bibliográficos
Autores: Mongrut, Samuel, Ramírez Sarrió, Dídac, 1946-
Formato: artículo
Fecha de Publicación:2004
Institución:Universidad del Pacífico
Repositorio:UP-Institucional
Lenguaje:español
OAI Identifier:oai:repositorio.up.edu.pe:11354/579
Enlace del recurso:http://hdl.handle.net/11354/579
https://doi.org/10.21678/apuntes.54.536
Nivel de acceso:acceso abierto
Materia:Análisis financiero
Aleatoriedad
Borrosidad
Descripción
Sumario:One of the tasks that financial managers must accomplish on a regular basis is the financial analysis of the firm. Although there are many tools available within certainty, stochastic and fuzzy paradigms, it is not clear which tools are particularly useful in which paradigms, nor how the tools can be combined to yield more powerful insights. In this work, the authors suggest a methodological framework that will enable managers to identify the most appropriate tool(s) for each paradigm and how to combine them to obtain powerful chains of interrelated tools with which it will be possible to exploit as much as possible the available information.
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