
by Felipe M. Herranz Martín · Asociación Española de Contabilidad · tapa dura · ISBN 9788489959361

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This work provides a comprehensive analysis of financial derivatives and their market risk management. The author, Felipe M. Herranz Martín, rigorously addresses the theoretical foundations, the necessary accounting treatment, and the precise methodologies for sensitivity calculation, making it an essential reference for professionals and students in the financial sector seeking to deepen their knowledge of risk management.
