Dealing with Financial Risk (The Economist Series) David Shirreff

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David Shirreff - «Dealing with Financial Risk (The Economist Series)»

О книге

Risk is an intrinsic component of finance that both dictates and complicates investments and companies. This book offers an exceptionally thorough and ambitious introduction to financial risk and risk management—direct from the capital markets editor of The Economist.

Dealing with Financial Risk presents key concepts in a simple and entertaining way by explaining the endeavors, mistakes, and successes of others as they tried to identify, measure, and simplify risk and make it work for them. It includes analysis of some of the recent corporate disasters and what each has added to the understanding of financial risk, including Baring Brothers in 1995, Long-Term Capital Management in 1998, and Enron in 2001. In addition, the book explores the risks of the financial system as a whole and analyzes recent attempts to ensure greater stability within the system.

This book will become a standard introduction to the concept of financial risk and the realities of financial risk management. Written for the intelligent layman as well as for a company or bank executive or a student who needs an introduction or refresher course on risk, Dealing with Financial Risk capitalizes on the pervasiveness and persistence of the topic. Это и многое другое вы найдете в книге Dealing with Financial Risk (The Economist Series) (David Shirreff)

Полное название книги David Shirreff Dealing with Financial Risk (The Economist Series)
Автор David Shirreff
Ключевые слова финансы и инвестиции
Категории Деловая литература, Финансы
ISBN 1576601625
Издательство
Год
Название транслитом dealing-with-financial-risk-the-economist-series-david-shirreff
Название с ошибочной раскладкой dealing with financial risk (the economist series) david shirreff