£151.23

Routledge Risk Management and Regulation in the Banking Industry

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Description

Expand your understanding of financial stability with Risk, Risk Management and Regulation in the Banking Industry. Part of the Routledge International Studies in Money and Banking series, this book provides a fresh perspective on how risk is handled within the modern financial sector. Author Peter Pelzer moves beyond standard industry definitions by applying the philosophical concepts of Jacques Derrida to the study of risk. This unique approach helps readers identify what is often left out of contemporary risk management practices. By examining the relationship between risk, management, and regulation, this work offers a deeper look into the mechanics of the banking industry. Whether you are a student of international economics or a professional in the finance sector, this book serves as a tool to broaden your discussion on the nature of risk. It challenges traditional views and provides a new framework for looking at how regulation shapes the financial landscape.

Key Features

Part of the Routledge International Studies in Money and Banking series for academic depth.

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Broadens the discussion regarding risk and regulation within the financial industry.

Explores what is necessarily excluded in contemporary risk management practices.

Provides a unique perspective for readers interested in international economics and finance.

Product Specifications

Format
hardcover
Domain
Amazon UK
Release Date
12 July 2012
Listed Since
03 October 2011

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No barcode data available

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