Financial risk management

Financial risk management

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LF/663986552/R
Russian
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Financial Risk Management by A. A. Kurilova is a deep and comprehensive study that immerses the reader in the world of financial risks and their management methods. In an ever-changing economic environment and global financial crises, knowledge of the fundamentals of risk management becomes not only useful, but vital for professionals in the field of finance, investment and business. Author, A. A. Kurilov is a recognized expert in finance who shares his experience and knowledge to help readers understand how to effectively identify, assess and manage the risks associated with financial transactions. The book is written in an accessible language, making it suitable for both students and practitioners who wish to deepen their knowledge in this important area. From the first pages, Kurilov introduces the reader to the basic concepts and principles of risk management, as well as modern methods of risk analysis and assessment. It not only describes theoretical aspects, but also offers practical examples that allow you to better assimilate the material. Readers will be able to learn about different types of risks credit, market, operating and others, as well as how they can affect the financial results of companies. The book will be of particular interest to those working in the financial sector, including bankers, investment analysts, financial advisors and managers. Students of economic and financial specialties will also find in it a lot of useful information that will help them prepare for their future careers. Due to its structure and logical presentation of the material, “Financial risk management” will become an indispensable tool for all who seek professional development in the field of finance. The topics raised in the book go beyond simple risk analysis. Kurilov emphasizes the importance of a strategic approach to risk management, emphasizing that effective risk management can be a competitive advantage for companies. It also looks at the impact of technology on risk management, including the use of big data and algorithmic analysis, making the book relevant in light of current trends in finance. The style of the author is clear and logical, which makes reading not only informative, but also fascinating. Kurilov is able to convey complex concepts in a simple and understandable language, which allows the reader not only to assimilate information, but also to apply it in practice. His other notable works, such as Investment Management and Financial Analysis, have also been recognized for their practical focus and in-depth analysis. If you are looking for a book that will help you understand the intricacies of financial risk management, Financial Risk Management A. A. Curly will be a great choice. It will not only expand your knowledge, but also equip you with the necessary tools for successful work in the world of finance. This book is not just a textbook, but a real guide to the complex and multifaceted world of financial risks, which must be in the library of everyone who seeks success in his career.
LF/663986552/R

Data sheet

Name of the Author
А. А.
Курилова
Language
Russian
ISBN
9785825912110

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Financial risk management

Financial Risk Management by A. A. Kurilova is a deep and comprehensive study that immerses the reader in the world of financial risks and their management meth...

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