A Practical Guide to Risk Management
Beschreibung des Verlags
Managing risk is at the core of managing any financial organization. Risk measurement and quantitative tools are critical aids for supporting risk management, but quantitative tools alone are no substitute for judgment, wisdom, and knowledge. Managers within a financial organization must be, before anything else, risk managers in the true sense of managing the risks that the firm faces.
Corporate Finance for Long-Term Value
2023
The Intelligent Investor Third Edition
2024
Technical Analysis: Modern Perspectives
2016
Stock Market Investing for Beginners, Day Trading, Forex Trading, Options Trading
2019
The Little Book of Common Sense Investing
2017
Technical Analysis For Dummies
2019
Guide to Effective Risk Management 3.0
2017
Investment Management after the Global Financial Crisis
2010
Learning about Risk Management: Insights from Unconventional Risk-Takers
2020
Frontier Market Equity Investing: Finding the Winners of the Future
2011
A New Look at Currency Investing
2012
Fund Management: An Emotional Finance Perspective
2012