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COLOMBIA CAPITAL INVESTMENT S.A.

Abstract

ABSTRACT This case study presents the experiences, analyses, and decisions of a financial fixed-income investment firm over a two year period, focusing on the 10 last days and providing an in-depth analysis of the events that occurred in the last two days of transactions. It also includes an attachment with a glossary that explains useful financial terminology. A second attachment shows the forecasting model, and the third attachment provides an explanation of the mathematical relation between the market yield and the price of bonds.

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