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Foundations of Financial Risk

An Overview of Financial Risk and Risk-based Financial Regulation

Parametri

  • 368pagine
  • 13 ore di lettura

Maggiori informazioni sul libro

Gain a deeper understanding of financial risk and regulation with this comprehensive resource. Written by experts at the Global Association of Risk Professionals (GARP), this updated edition builds on GARP's original work, offering insights into the various risks, regulations, and supervisory requirements that institutions face today. You'll explore essential terminology and concepts related to global financial risk and regulation, while learning methods to measure and manage market, credit, and operational risk. The book covers a range of topics, including traded market risk, treasury risk, and newly added content on risk management for insurance companies. With clear explanations and focused discussions, it serves as an ideal introduction to risk management. The textbook delves into risk management methodologies, governance structures, and regulatory requirements set by the Basel Committee on Banking Supervision. By addressing key issues surrounding financial risk, it equips readers with a solid knowledge base and practical understanding. As financial institutions and supervisors increasingly recognize the importance of sound risk management practices, this resource provides the authoritative training needed for professionals new to the field.

Acquisto del libro

Foundations of Financial Risk, Richard Apostolik, Christopher Donohue, GARP (Global Association of Risk Professionals)

Lingua
Pubblicato
2015
Rilegatura
(In brossura)
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Metodi di pagamento

Titolo
Foundations of Financial Risk
Sottotitolo
An Overview of Financial Risk and Risk-based Financial Regulation
Lingua
Inglese
Editore
WILEY
Pubblicato
2015
Formato
In brossura
Pagine
368
ISBN10
111909805X
ISBN13
9781119098058
Serie
Descrizione
Gain a deeper understanding of financial risk and regulation with this comprehensive resource. Written by experts at the Global Association of Risk Professionals (GARP), this updated edition builds on GARP's original work, offering insights into the various risks, regulations, and supervisory requirements that institutions face today. You'll explore essential terminology and concepts related to global financial risk and regulation, while learning methods to measure and manage market, credit, and operational risk. The book covers a range of topics, including traded market risk, treasury risk, and newly added content on risk management for insurance companies. With clear explanations and focused discussions, it serves as an ideal introduction to risk management. The textbook delves into risk management methodologies, governance structures, and regulatory requirements set by the Basel Committee on Banking Supervision. By addressing key issues surrounding financial risk, it equips readers with a solid knowledge base and practical understanding. As financial institutions and supervisors increasingly recognize the importance of sound risk management practices, this resource provides the authoritative training needed for professionals new to the field.