Risk Management and Financial Institutions(5th edition)

Authors:

John C. Hull

Free risk management and financial institutions 5th edition john c. hull 978-1-119-4481, 1119448115, 9781119448099
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Book details

ISBN: 978-1-119-4481, 1119448115, 9781119448099 , 978-1119448112

Book publisher: Wiley

Book Price $0 : John C. Hull's 'Risk Management and Financial Institutions' in its 5th edition is an authoritative resource that meticulously explores the intricate dynamics of risk management in the financial sector. This comprehensive book bridges the gap between theory and practice, serving as an essential tool for both students and professionals. Hull delves into various types of risks, including market risk, credit risk, and operational risk, providing readers with a deep understanding of how these risks are quantified and managed in modern financial institutions. A notable feature of this edition is its updated content reflecting the latest regulatory changes and financial instruments used in today's markets. The book is structured to enhance learning, with a solution manual and answer key for exercise questions, ensuring comprehension of complex concepts such as derivatives and value at risk (VaR). The table of contents is systematically organized, guiding readers through topics like regulatory frameworks and the use of financial derivatives for hedging and speculation. Readers commend Hull's clarity and practical approach, making this a definitive guide in the field. The content aligns closely with the real-world application, promising a profound impact on both academic circles and professional environments. Concepts such as liquidity risk and stress testing are intricately explained, aligning with contemporary industry practices and academic discourse.

See the other edition of "Risk Management and Financial Institutions"

Risk Management and Financial Institutions - 4th edition

Hull John

ISBN: 1118955943, 978-1118955949

$0 $6.26