Financial Risk Manager Handbook: Edition 5

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· John Wiley & Sons
2.9
9 reviews
Ebook
736
Pages
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About this ebook

The essential reference for financial risk management

Filled with in-depth insights and practical advice, theFinancial Risk Manager Handbook is the core text for riskmanagement training programs worldwide. Presented in a clear andconsistent fashion, this completely updated FifthEdition-which comes with an interactive CD-ROM containinghundreds of multiple-choice questions from previous FRM exams-isone of the best ways to prepare for the Financial Risk Manager(FRM) exam.

Financial Risk Manager Handbook, Fifth Edition supportscandidates studying for the Global Association of RiskProfessional's (GARP) annual FRM exam and prepares you to assessand control risk in today's rapidly changing financial world.Authored by renowned risk management expert Philippe Jorion-withthe full support of GARP-this definitive guide summarizes the corebody of knowledge for financial risk managers.
* Offers valuable insights on managing market, credit,operational, and liquidity risk
* Examines the importance of structured products, futures,options, and other derivative instruments
* Identifies regulatory and legal issues
* Addresses investment management and hedge fund risk

Financial Risk Manager Handbook is the most comprehensiveguide on this subject, and will help you stay current on bestpractices in this evolving field. The FRM Handbook is the officialreference book for GARP's FRM® certification program.

Note: CD-ROM/DVD and other supplementary materials arenot included as part of eBook file.

Ratings and reviews

2.9
9 reviews
Hafis Safwan
December 6, 2016
This book is very good, so much as that i sleep all the time i read it...
1 person found this review helpful
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Mert Sikmaz
March 14, 2015
400 TL this money is too much for a book I will buy with this money the samsung galaxy s2
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Sameer Sapre
October 11, 2015
A must refer
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About the author

Philippe Jorion is Professor of Finance at the Paul Merage School of Business at the University of California at Irvine. He has also taught at Columbia, Northwestern, the University of Chicago, and the University of British Columbia. He holds an MBA and a PhD from the University of Chicago and a degree in engineering from the University of Brussels. Dr. Jorion has authored more than ninety publications—directed towards academics and practitioners-on the topic of risk management and international finance. He is on the editorial board of a number of financial journals and was editor of the Journal of Risk. His work has received several prizes for research. Dr. Jorion has written the first four editions of Financial Risk Manager Handbook (Wiley), as well as Financial Risk Management: Domestic and International Dimensions; Big Bets Gone Bad: Derivatives and Bankruptcy in Orange County; and Value at Risk: The New Benchmark for Managing Financial Risk. He is also a managing director at Pacific Alternative Asset Management Company (PAAMCO), a global fund of hedge funds.

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