No1934 Management of financial risks: educational manual

No1934 Management of financial risks: educational manual

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LF/212357841/R
Russian
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Book 1934 Financial Risk Management: Learning. Author's Guide and . A. Larionova is an indispensable resource for everyone who seeks to understand the complex world of finance and learn how to effectively manage risks in this area. In the context of an unstable economic situation and constant changes in financial markets, the knowledge presented in this training manual becomes especially relevant. Author, E. A. Larionov is a recognized expert in finance and risk management. His work is known for its depth of analysis and practical approach. In this manual, he shares not only theoretical foundations, but also real examples from practice, which makes the material accessible and understandable to a wide audience. The book will be of interest to both economics and finance students and practitioners seeking to improve their risk management skills. In “Financial Risk Management”, Larionov addresses key aspects related to the identification, analysis and minimization of risks that may arise in the course of doing business. He emphasizes the importance of a systematic approach to risk management, offering the reader tools and techniques that will help not only to identify potential threats, but also to develop strategies for their neutralization. The book also discusses current trends in financial analysis, including the use of digital technologies and algorithms to predict risks. The topics raised in the book cover a wide range of issues, from credit risk assessment to currency fluctuation management. Larionov pays attention to both quantitative and qualitative methods of analysis, which allows readers to get a comprehensive idea of the problem. He emphasizes that risk management is not just a set of tools, but a whole philosophy that should be integrated into the company’s strategy. The book will be especially useful for undergraduate and graduate students, as well as for young professionals who are just beginning their journey in the financial field. It will be an excellent help for teachers who want to enrich their courses with up-to-date information and practical examples. In addition, the manual will be of interest to managers and managers who are looking for ways to optimize business processes and increase the resilience of their companies to financial risks. The style of writing Larionov is clear and logical . He skillfully combines theory with practice, which makes the material not only informative, but also fascinating. By reading the book, you will not only gain new knowledge, but also be able to put it into practice, which makes this manual especially valuable in the context of modern business. If you are interested in topics such as financial analysis, risk management, investment and economic security, then “Financial risk management” is exactly what you need. The book will become a reliable assistant in your professional development and will open up new horizons in the world of finance. Do not miss the chance to deepen your knowledge and skills that will help you confidently step up the career ladder in the field of finance and risk management.
LF/212357841/R

Data sheet

Name of the Author
И. А.
Ларионова
Language
Russian
ISBN
9785876233868
Release date
2010

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No1934 Management of financial risks: educational manual

Book 1934 Financial Risk Management: Learning. Author's Guide and . A. Larionova is an indispensable resource for everyone who seeks to understand the complex w...

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