
Financial Risk Management
Brian Hurley(Editor)
NY Research Press
Published on 26. September 2023
Book
Hardback
245 pages
978-1-64725-455-1 (ISBN)
Description
Financial risk refers to the possibility of losing money in an investment or in a business venture. This risk can come in a variety of forms including operational risk, credit risk and liquidity risk. Both individuals and organizations can experience these kinds of risks. The practice of assessing and managing potential and current financial risks in order to reduce an organization's exposure to risk is known as financial risk management. It entails recognizing the risk, quantifying it, assessing all viable solutions, formulating a plan and then implementing the steps and financial tools required to mitigate its potential consequences. The primary strategies for financial risk management are risk reduction, risk retention, risk avoidance and risk transfer. This book explores all the important aspects of financial risk management in the present day scenario. It consists of contributions made by international experts. A number of latest researches have been included to keep the readers up-to-date with the global concepts in this area of study.
More details
Language
English
Place of publication
United States
Product notice
sewn/stitched
Cloth over boards
Dimensions
Height: 279 mm
Width: 216 mm
Thickness: 16 mm
Weight
862 gr
ISBN-13
978-1-64725-455-1 (9781647254551)
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Schweitzer Classification