A Practical Guide to Risk Management A Practical Guide to Risk Management

A Practical Guide to Risk Management

    • 2.4 • 16 Ratings

Publisher Description

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.

GENRE
Business & Personal Finance
RELEASED
2011
July 8
LANGUAGE
EN
English
LENGTH
228
Pages
PUBLISHER
Research Foundation of CFA Institute
SELLER
RESEARCH FOUNDATION OF CFA INSTITUTE
SIZE
7.2
MB
Corporate Finance for Long-Term Value Corporate Finance for Long-Term Value
2023
A Random Walk Down Wall Street A Random Walk Down Wall Street
2019
A Random Walk Down Wall Street A Random Walk Down Wall Street
2023
The Intelligent Investor Third Edition The Intelligent Investor Third Edition
2024
Technical Analysis: Modern Perspectives Technical Analysis: Modern Perspectives
2016
The Intelligent Investor The Intelligent Investor
2022
Puzzles of Inflation, Money, and Debt: Applying the Fiscal Theory of the Price Level Puzzles of Inflation, Money, and Debt: Applying the Fiscal Theory of the Price Level
2021
Quantitative Risk Management Quantitative Risk Management
2012