Risk: The New Management Imperative in FinanceISBN: 978-1-57660-074-0
Hardcover
302 pages
March 2000
This is a Print-on-Demand title. It will be printed specifically to fill your order. Please allow an additional 10-15 days delivery time. The book is not returnable.
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Finance professionals grapple with risk every day—it's the
inescapable partner of all financial market participants. As a
result, high-stakes financial professionals are continually trying
to streamline and perfect their risk management techniques.
Financial risk management quantifies and controls risk (loss
potential) and helps drive capital to its optimal use (profit
seeking). This book is a much-needed guide for financial firms. It
describes the latest risk management tools, financial instruments,
and practical implementation strategies. And they're presented in a
real-world, nonacademic manner. This book presents the latest
information on
- Identifying risk: the spectrum of risks faced by market participants
- Measuring and quantifying risk: ways to track and value market and credit risks
- Managing risk: a practical framework for financial risk management implementation
Also includes "The Ten Commandments of Financial Risk Management," how and when to use the latest financial instruments and derivatives, and setting up a trackable risk management initiative.