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Focusing on the intricate relationship between risk management and financial institutions, this book delves into various strategies for identifying, assessing, and mitigating risks within the financial sector. It explores the regulatory frameworks and market dynamics that shape risk management practices, providing insights into the challenges faced by financial institutions today. The text is rich with case studies and practical examples, making it an essential resource for professionals and students seeking to understand the complexities of risk in finance.
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- Titel
- Risk Management and Financial Institutions
- Sprache
- Englisch
- Autor*innen
- John C. Hull
- Verlag
- John Wiley & Sons
- Verlag
- 2012
- Einband
- Paperback
- ISBN10
- 1118269039
- ISBN13
- 9781118269039
- Kategorie
- Wirtschaft
- Beschreibung
- Focusing on the intricate relationship between risk management and financial institutions, this book delves into various strategies for identifying, assessing, and mitigating risks within the financial sector. It explores the regulatory frameworks and market dynamics that shape risk management practices, providing insights into the challenges faced by financial institutions today. The text is rich with case studies and practical examples, making it an essential resource for professionals and students seeking to understand the complexities of risk in finance.