Comportamiento frente al riesgo de los inversionistas en Colombia: un análisis comparativo para determinar las divergencias y convergencias entre metodologías de medición del perfil de riesgo
dc.contributor.advisor | Chicaíza Becerra, Liliana Alejandra | |
dc.contributor.author | Palomino Morera, Mónica | |
dc.coverage.country | Colombia | |
dc.date.accessioned | 2025-09-16T17:42:05Z | |
dc.date.available | 2025-09-16T17:42:05Z | |
dc.date.issued | 2025 | |
dc.description | ilustraciones, diagramas | spa |
dc.description.abstract | El presente trabajo de grado analiza las divergencias y convergencias entre las metodologías usadas en la academia para medir el comportamiento frente al riesgo y los instrumentos aplicados en el sector financiero colombiano. Se realizó una caracterización del mercado financiero colombiano, posteriormente se desarrolló un cuasi-experimento que incluyó una lotería, una encuesta de perfil del sector financiero, la autodeclaración del comportamiento frente al riesgo y la medición de exposición prenatal a testosterona; el estudio se aplicó a 139 personas nacidos en diferentes regiones de Colombia y una persona nacida en Italia, considerados clientes inversionistas. Los resultados mostraron diferencias entre el comportamiento de los hombres y las mujeres a la hora de enfrentarse a decisiones que pueden implicar riesgo, así como correlaciones entre algunas de las pruebas aplicadas. Finalmente se detallan las conclusiones y algunas recomendaciones para próximas investigaciones y para el sector financiero colombiano. (Texto tomado de la fuente) | spa |
dc.description.abstract | This study analyzes the divergences and convergences between the methodologies used in academia to measure risk behavior and the instruments applied in the colombian financial sector. A characterization of the colombian financial market was carried out, then a quasiexperiment that included a lottery, a financial sector profile survey, self-declaration of risk behavior and measurement of prenatal testosterone exposure was developed; the study was applied to 139 people born in different regions of Colombia and one person born in Italy, considered as investor clients. The results showed differences between the behavior of men and women when facing decisions that may involve risk, as well as correlations between some of the tests applied. Finally, the conclusions and some recommendations for future research and for the Colombian financial sector are detailed. | eng |
dc.description.degreelevel | Maestría | |
dc.description.degreename | Magíster en Administración | |
dc.description.researcharea | Proyecto aplicado organizacional | |
dc.format.extent | xi, 58 páginas | |
dc.format.mimetype | application/pdf | |
dc.identifier.instname | Universidad Nacional de Colombia | spa |
dc.identifier.reponame | Repositorio Institucional Universidad Nacional de Colombia | spa |
dc.identifier.repourl | https://repositorio.unal.edu.co/ | spa |
dc.identifier.uri | https://repositorio.unal.edu.co/handle/unal/88815 | |
dc.language.iso | spa | |
dc.publisher | Universidad Nacional de Colombia | |
dc.publisher.branch | Universidad Nacional de Colombia - Sede Bogotá | |
dc.publisher.faculty | Facultad de Ciencias Económicas | |
dc.publisher.place | Bogotá, Colombia | |
dc.publisher.program | Bogotá - Ciencias Económicas - Maestría en Administración | |
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dc.relation.references | rañas-Garza, P., Galizzi, M. M., & Nieboer, J. (2018). EXPERIMENTAL AND SELF-REPORTED MEASURES OF RISK TAKING AND DIGIT RATIO (2D:4D): EVIDENCE FROM A LARGE, SYSTEMATIC STUDY [Article]. International Economic Review, 59(3), 1131-1157. https://doi.org/10.1111/iere.12299 | |
dc.relation.references | https://doi.org/10.1111/iere.12299 Charness, G., & Gneezy, U. (2010). Portfolio choice and risk attitudes: An experiment. Economic inquiry, 48(1), 133-146 | |
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dc.relation.references | Eckel, C. C., & Grossman, P. J. (2002). Sex differences and statistical stereotyping in attitudes toward financial risk. Evolution and human behavior, 23(4), 281-295 | |
dc.relation.references | Garbarino, E., Slonim, R., & Sydnor, J. (2011). Digit ratios (2D:4D) as predictors of risky decision making for both sexes [Article]. Journal of Risk and Uncertainty, 42(1), 1-26. https://doi.org/10.1007/s11166-010-9109-6 | |
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dc.relation.references | Mackinger, B., Jonas, E., & Muhlberger, C. (2017). When Advisors' True Intentions Are in Question. How Do Bank Customers Cope with Uncertainty in Financial Consultancies? [Article]. Frontiers in Psychology, 8, 10. https://doi.org/10.3389/fpsyg.2017.01112 | |
dc.relation.references | Malas, M. A., Dogan, S., Evcil, E. H., & Desdicioglu, K. (2006). Fetal development of the hand, digits and digit ratio (2D: 4D). Early human development, 82(7), 469-475 | |
dc.relation.references | Decreto 663 de 1993, (1993). https://www.funcionpublica.gov.co/eva/gestornormativo/norma_pdf.php?i=1348 | |
dc.relation.references | Decreto 2555 de 2010, (2010). https://www.funcionpublica.gov.co/eva/gestornormativo/norma_pdf.php?i=40032 | |
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dc.rights.accessrights | info:eu-repo/semantics/openAccess | |
dc.rights.license | Atribución-NoComercial-SinDerivadas 4.0 Internacional | |
dc.rights.uri | http://creativecommons.org/licenses/by-nc-nd/4.0/ | |
dc.subject.ddc | 330 - Economía | |
dc.subject.lemb | Análisis financiero | spa |
dc.subject.lemb | Economic Analysis | eng |
dc.subject.lemb | Riesgo (Economía) | spa |
dc.subject.lemb | Risk | eng |
dc.subject.lemb | Economía | spa |
dc.subject.lemb | Economics | eng |
dc.subject.proposal | Proporción de dígitos 2D:4D | spa |
dc.subject.proposal | Preferencia frente al riesgo | spa |
dc.subject.proposal | Testosterona | spa |
dc.subject.proposal | Autodeclaración | spa |
dc.subject.proposal | Lotería | spa |
dc.subject.proposal | Digital Ratio | eng |
dc.subject.proposal | Risk preference | eng |
dc.subject.proposal | Prenatal testosterone exposure | eng |
dc.subject.proposal | Self-reported risk attitude | eng |
dc.subject.proposal | Lotteries | eng |
dc.title | Comportamiento frente al riesgo de los inversionistas en Colombia: un análisis comparativo para determinar las divergencias y convergencias entre metodologías de medición del perfil de riesgo | spa |
dc.title.translated | Risk behavior of investors in Colombia: a comparative analysis to determine divergences and convergences between risk profile measurement methodologies | eng |
dc.type | Trabajo de grado - Maestría | |
dc.type.coar | http://purl.org/coar/resource_type/c_bdcc | |
dc.type.coarversion | http://purl.org/coar/version/c_ab4af688f83e57aa | |
dc.type.content | Text | |
dc.type.driver | info:eu-repo/semantics/masterThesis | |
dc.type.redcol | http://purl.org/redcol/resource_type/TM | |
dc.type.version | info:eu-repo/semantics/acceptedVersion | |
dcterms.audience.professionaldevelopment | Administradores | |
dcterms.audience.professionaldevelopment | Estudiantes | |
dcterms.audience.professionaldevelopment | Investigadores | |
dcterms.audience.professionaldevelopment | Maestros | |
oaire.accessrights | http://purl.org/coar/access_right/c_abf2 |
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