Essentials of Financial Risk Management - by Zachary Bell (Hardcover)
$148.00 when purchased online
Target Online store #3991
About this item
Highlights
- Financial risk is the likelihood of losing money on an investment or business venture.
- Author(s): Zachary Bell
- 234 Pages
- Business + Money Management, Finance
Description
About the Book
Financial risk is the likelihood of losing money on an investment or business venture. Financial risk management is the exercise of protecting the economic value of money or investment in a firm by using financial instruments to manage exposure to operational, market, credit, liquidity, and legal risks. It involves identifying the risk sources, quantifying the exposure, and making a hedging decision. It requires the knowledge of mathematics, statistics, economics and finance. Financial risk management is practiced by risk professionals at accounting firms, banks, insurance companies, consulting firms, asset management companies and regulatory agencies. The objective of this book is to give a general view of the different areas of financial risk management, and its applications. It picks up individual branches and explains their need and contribution in the context of a growing economy. Students, researchers, and finance experts will benefit alike from this book.Book Synopsis
Financial risk is the likelihood of losing money on an investment or business venture. Financial risk management is the exercise of protecting the economic value of money or investment in a firm by using financial instruments to manage exposure to operational, market, credit, liquidity, and legal risks. It involves identifying the risk sources, quantifying the exposure, and making a hedging decision. It requires the knowledge of mathematics, statistics, economics and finance. Financial risk management is practiced by risk professionals at accounting firms, banks, insurance companies, consulting firms, asset management companies and regulatory agencies. The objective of this book is to give a general view of the different areas of financial risk management, and its applications. It picks up individual branches and explains their need and contribution in the context of a growing economy. Students, researchers, and finance experts will benefit alike from this book.Dimensions (Overall): 11.0 Inches (H) x 8.5 Inches (W) x .56 Inches (D)
Weight: 1.84 Pounds
Suggested Age: 22 Years and Up
Number of Pages: 234
Genre: Business + Money Management
Sub-Genre: Finance
Publisher: Murphy & Moore Publishing
Theme: General
Format: Hardcover
Author: Zachary Bell
Language: English
Street Date: September 20, 2022
TCIN: 1004855572
UPC: 9781639872053
Item Number (DPCI): 247-02-5298
Origin: Made in the USA or Imported
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Shipping details
Estimated ship dimensions: 0.56 inches length x 8.5 inches width x 11 inches height
Estimated ship weight: 1.84 pounds
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