Please use this identifier to cite or link to this item:
https://repository.unad.edu.co/handle/10596/78904Full metadata record
| DC Field | Value | Language |
|---|---|---|
| dc.contributor.advisor | Gómez Marín, Juan David | |
| dc.coverage.spatial | CEAD_-_José_Celestino_Mutis | |
| dc.creator | Niño Padilla, Alexy Mildred | |
| dc.creator | Narváez García, María Paula | |
| dc.creator | Roncancio Niño, Lili Natalia | |
| dc.date.accessioned | 2026-02-18T20:10:13Z | |
| dc.date.available | 2026-02-18T20:10:13Z | |
| dc.date.created | 2026-02-16 | |
| dc.identifier.uri | https://repository.unad.edu.co/handle/10596/78904 | |
| dc.description.abstract | El trabajo analiza la rentabilidad de The Coca-Cola Company, su política de dividendos entre 2021 y 2024 y la influencia de variables macroeconómicas en su desempeño. Se evalúan los indicadores PER (25,8) y PEG (2,63) en 2024, así como un dividend yield promedio del 3,1 %, evidenciando una estrategia orientada a la estabilidad. Además, se estudia el impacto de la volatilidad cambiaria y los precios de materias primas, resaltando el uso de instrumentos derivados para mitigar riesgos y fortalecer la gestión financiera. | |
| dc.format | ||
| dc.title | Presentación de diagnóstico financiero y análisis bursátil (2021-2024) | |
| dc.type | Proyecto aplicado | |
| dc.subject.keywords | Expectativas de rentabilidad | |
| dc.subject.keywords | Precio de la acción | |
| dc.subject.keywords | Política de dividendos | |
| dc.subject.keywords | PER | |
| dc.subject.keywords | PEG | |
| dc.subject.keywords | Mercados financieros | |
| dc.description.abstractenglish | The paper analyzes the profitability of The Coca-Cola Company, its dividend policy between 2021 and 2024, and the influence of macroeconomic variables on its performance. The PER (25.8) and PEG (2.63) indicators for 2024 are evaluated, as well as an average dividend yield of 3.1%, highlighting a strategy focused on stability. Additionally, the impact of currency volatility and commodity prices is studied, emphasizing the use of derivative instruments to mitigate risks and strengthen financial management. | |
| dc.subject.category | Finanzas | |
| Appears in Collections: | Diplomado de Profundización de Finanzas | |
Files in This Item:
| File | Description | Size | Format | |
|---|---|---|---|---|
| amninop.pdf | 681.04 kB | Adobe PDF | View/Open |
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