Marco de apetito al riesgo I: un acercamiento al sector real

Authors

  • Alberto Parra Barrios Fundación Universitaria Cervantes San Agustín – Unicervantes

DOI:

https://doi.org/10.18634/ctxj.10v.1i.1201

Keywords:

Risk appetite framework, risk appetite, risk profile, tolerance, capacity, risk

Abstract

This paper aims to lay the foundations of what could be the structure and set of rules that allow companies in the real sector to develop risk management and have a parameter that guides decision-making, without exceeding a limit risk affecting equity. Initially, the concepts related to the Risk Appetite Framework are clarified, the tools that facilitate the estimation of financial risks that impact the profits of companies in the real sector are recalled and guidance is given on which models could be to be used that would lead to building the organization´s Risk Appetite. Finally, some conclusions are given on the subject. To develop this proposal, we start from the Risk Appetite Framework guide applicable to the banking sector, given the scarcity of regulations for the real sector of the economy.

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Author Biography

  • Alberto Parra Barrios, Fundación Universitaria Cervantes San Agustín – Unicervantes
    Administrador de Empresas, especialista en Finanzas, máster en Finanzas y Mercados Financieros por la Universidad San Pablo CEU, magister en Administración de Negocios, MBA énfasis en Finanzas, magister en Economía, magister en Administración Financiera

References

Parra.Barrios., A(2022). Marco de apetito al riesgo I: un acercamiento al sector real Contexto, 10(1), 22-. 44.

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Published

2022-06-22

Issue

Section

Artículos Resultado de Investigación

How to Cite

Marco de apetito al riesgo I: un acercamiento al sector real. (2022). Contexto, 10(1), 22-44. https://doi.org/10.18634/ctxj.10v.1i.1201