Risk Management and Financial Institutions (Wiley Finance), 5th Edition:
Summary: “Risk Management and Financial Institutions” is a comprehensive textbook that explores the principles and practices of risk management in the context of financial institutions. In this 5th edition, the book covers key topics such as the nature of financial risk, risk measurement and assessment, risk management frameworks, credit risk management, market risk management, operational risk management, liquidity risk management, and regulatory compliance. It also addresses emerging trends and challenges in risk management, including the impact of technological innovations, globalization, and regulatory reforms. With real-world examples, case studies, and industry insights, this textbook provides students and professionals with the knowledge and tools needed to effectively identify, assess, and mitigate risks in financial institutions.
Authors: John C. Hull is the author of this textbook. He is a renowned expert in the field of risk management and derivatives, with extensive experience in academia and industry.
Publisher: Wiley
Publication Year: 2018
ISBN-10: 1119448115
ISBN-13: 978-1119448112