Understanding Financial Risk Management (Routledge Advanced Texts in Economics and Finance)
Understanding Financial Risk Management (Routledge Advanced Texts in Economics and Finance) is backordered and will ship as soon as it is back in stock.
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Book Details
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Author: Angelo Corelli
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Brand: Routledge
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Edition: 1
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Binding: Paperback
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Number of Pages: 486
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Release Date: 07-10-2014
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EAN: 9780415746182
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Languages: English
About the Book
Understanding Financial Risk Management by Angelo Corelli provides a comprehensive exploration of the key principles and practices in financial risk management. This book covers essential topics such as risk identification, risk assessment, risk mitigation strategies, and financial regulations. Corelli integrates theoretical insights with practical applications, making this an invaluable resource for students, financial professionals, and anyone interested in understanding how financial risks are managed in modern markets.
The text is designed to offer a thorough grounding in the theory and tools of risk management, with a focus on real-world examples and case studies. Readers will gain a deeper understanding of the complexities of managing risk in various financial institutions, from banks to investment firms.
Ideal for those pursuing careers in finance or economics, Understanding Financial Risk Management is an essential guide to mastering the critical skills required to navigate the complexities of financial markets and ensure sustainable financial practices.