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Risk Management and Financial Institutions

Author: John C. Hull

RISK MANAGEMENT AND FINANCIAL INSTITUTIONS

The sixth revised edition of Risk Management and Financial Institutions, by the distinguished expert in risks and derivatives, John C. Hull, offers a clear...

RISK MANAGEMENT AND FINANCIAL INSTITUTIONS

The sixth revised edition of Risk Management and Financial Institutions, by the distinguished expert in risks and derivatives, John C. Hull, offers a clear and comprehensive analysis of financial risks and the regulation of financial institutions.

In the book, you can understand financial markets, the risks they...

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  • Number of pages Number of pages 832
  • Cover Cover Hardcover
  • Year of publication Year of publication 2023
  • Publisher Publisher Wiley
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Description

Description

RISK MANAGEMENT AND FINANCIAL INSTITUTIONS

The sixth revised edition of Risk Management and Financial Institutions, by the distinguished expert in risks and derivatives, John C. Hull, offers a clear and comprehensive analysis of financial risks and the regulation of financial institutions.

In the book, you can understand financial markets, the risks they pose to various types of financial institutions, and how these risks are influenced by common regulatory structures. This edition combines the discussion of best practices in risk management with holistic approaches to the regulation of financial institutions.

It explores market risks, credit risks, liquidity risks, model risks, climate risks, cyber risks, and operational risks. This latest edition also offers:

  • Updated ancillary and digital materials covering all the latest content, including software, practice questions, and instructional supplements.
  • Access to an updated website reflecting the new content.
  • Complete coverage of the most important developments in financial markets since the fifth edition, including regulatory changes, the increasing importance of climate risk, the use of machine learning models, and the phasing out of LIBOR.

An essential resource for undergraduate and graduate students in business and finance, Risk Management and Financial Institutions, Sixth Edition, establishes this recognized text as the gold standard in risk management resources.

Pages: 832, Year of Publication: 0217, Dimensions: 18.5x18.5cm

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Specifications

Specifications

Specifications

Author
John C. Hull
Publisher
Wiley
Language
English
Cover
Hardcover
Number of Pages
832
Release Date
02/2023
Publication Date
2023
Dimensions
18.5x25.6 cm
ISBN-13
9781119932482

Book Type

Diversity, Equity & Inclusion (DEI)
No

Important information

Specifications are collected from official manufacturer websites. Please verify the specifications before proceeding with your final purchase. If you notice any problem you can report it here.

See all specifications
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Description & Specifications

RISK MANAGEMENT AND FINANCIAL INSTITUTIONS

The sixth revised edition of Risk Management and Financial Institutions, by the distinguished expert in risks and derivatives, John C. Hull, offers a clear and comprehensive analysis of financial risks and the regulation of financial institutions.

In the book, you can understand financial markets, the risks they pose to various types of financial institutions, and how these risks are influenced by common regulatory structures. This edition combines the discussion of best practices in risk management with holistic approaches to the regulation of financial institutions.

It explores market risks, credit risks, liquidity risks, model risks, climate risks, cyber risks, and operational risks. This latest edition also offers:

  • Updated ancillary and digital materials covering all the latest content, including software, practice questions, and instructional supplements.
  • Access to an updated website reflecting the new content.
  • Complete coverage of the most important developments in financial markets since the fifth edition, including regulatory changes, the increasing importance of climate risk, the use of machine learning models, and the phasing out of LIBOR.

An essential resource for undergraduate and graduate students in business and finance, Risk Management and Financial Institutions, Sixth Edition, establishes this recognized text as the gold standard in risk management resources.

Pages: 832, Year of Publication: 0217, Dimensions: 18.5x18.5cm

Manufacturer

Specifications

Author
John C. Hull
Publisher
Wiley
Language
English
Cover
Hardcover
Number of Pages
832
Release Date
02/2023
Publication Date
2023
Dimensions
18.5x25.6 cm
ISBN-13
9781119932482

Book Type

Diversity, Equity & Inclusion (DEI)
No

Important information

Specifications are collected from official manufacturer websites. Please verify the specifications before proceeding with your final purchase. If you notice any problem you can report it here.

139,13 €
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