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Financial Risk Management : Identification, Measurement and Management

Financial Risk Management : Identification, Measurement and Management

1st ed. 2016

Hardback (24 Feb 2017)

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Publisher's Synopsis

This book provides a quantitative overview of corporate risk management for both financial and non-financial organisations. It systematically explores a range of important risks, including interest rate risk, equity risk, commodity price risk, credit risk management, counterparty risk, operational risk, liquidity risk, market risk, derivative credit risk and country risk. Chapters also provide comprehensive and accessible analysis of risk-related phenomena and the corporate strategies employed to minimise the impacts of risk in each case.  Chapters begin with an explanation of basic concepts and terminology, before going on to present quantitative examples and qualitative discussion sections. The author leverages his lifetime's experience of working in risk management to offer this clear and empirical guide for scholars and practitioners researching financial stability. 

About the Publisher

Palgrave Macmillan

From award-winning research which changes the world to textbooks and study guides which educate and inspire, we publish across the humanities, social sciences and business for academics, students, professionals and librarians worldwide.With offices in London and New York, and sales teams across 50 countries, we have a global reach and as part of Macmillan Science and Education, are proud to uphold an unbroken tradition of over 170 years of academic publishing.

Book information

ISBN: 9783319413655
Publisher: Springer International Publishing
Imprint: Palgrave Macmillan
Pub date:
Edition: 1st ed. 2016
DEWEY: 658.155
DEWEY edition: 23
Language: English
Number of pages: 389
Weight: 708g
Height: 160mm
Width: 219mm
Spine width: 30mm