£48.17

Wiley Risk Management and Financial Institutions - 6th Edition

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£66.08 £33.77 £40.82 £47.87 £54.92 £61.97 £69.02 08 July 2026 27 July 2026 16 August 2026 05 September 2026 25 September 2026

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Description

Master the fundamentals of financial risk with the sixth edition of Risk Management and Financial Institutions by John C. Hull. Published by Wiley, this textbook is a standard resource for understanding financial markets and the specific risks they present to various financial institutions. This edition provides a comprehensive discussion on financial institution regulation and how common regulatory structures affect risk. Readers will explore the connection between market dynamics and risk management best practices. It is an essential text for anyone looking to understand the complex relationship between financial markets, institutional stability, and the regulatory landscape.

Key Features

This sixth edition of Risk Management and Financial Institutions is authored by celebrated risk and derivatives expert John C. Hull.

The Wiley Finance textbook provides a comprehensive discussion of financial risk and financial institution regulation.

Learn to understand how common regulatory structures affect the risks faced by various kinds of financial institutions.

This book integrates discussions of best practices in risk management with practical market analysis.

Gain insight into how financial markets pose specific risks to different types of financial institutions.

Product Specifications

Brand
Wiley
Format
hardcover
Domain
Amazon UK
Release Date
14 February 2023
Listed Since
22 March 2022

Barcode

No barcode data available

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