Gestión de riesgos financieros. Experiencia en un banco latinoamericano
DOI:
https://doi.org/10.1016/S0123-5923(12)70012-8Keywords:
Basilea III, Gestión de riesgos, Sistema financiero peruanoAbstract
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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