Modelo de gestión para la cobertura de riesgo de tasa de interés en el sistema bancario hondureño, mediante el uso de instrumentos derivados financieros
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Universidad Tecnológica Centroamericana UNITEC
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El propósito de nuestra tesis fue proponer un modelo de gestión que permita dar cobertura y diversificar el riesgo de tipo de interés que pudiera afectar a las instituciones bancarias en Honduras por la adquisición de créditos a tipo de interés variable,
The purpose of our thesis was to propose a management model that allows to cover and diversify the interest rate risk that could affect the banking institutions in Honduras for the acquisition of loans at variable interest through the use of financial der
The purpose of our thesis was to propose a management model that allows to cover and diversify the interest rate risk that could affect the banking institutions in Honduras for the acquisition of loans at variable interest through the use of financial der
