Financial management. Financial risk management

Financial management. Financial risk management

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LF/98867163/R
Russian
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Financial Management . Vladimir Alexandrovich Deryabin’s Financial Risk Management is a deep and comprehensive study that immerses the reader in the world of financial strategies and risk management. In the context of an unstable economy and constant changes in the financial markets, this work becomes an indispensable assistant for both professionals and students seeking to understand the complex mechanisms of financial management. In this book, the author offers readers a unique perspective on financial management, focusing on the importance of risk management. Deryabin not only lists theoretical concepts, he illustrates them with practical examples, which allows you to better assimilate the material and apply it in real life. The reader will be able to learn how to properly assess risks, develop strategies to minimize them and make sound financial decisions, which is especially important for entrepreneurs and managers. The book will be of interest to a wide range of readers: from undergraduate and graduate students of economic specialties to practitioners in the field of finance and business . If you want to deepen your knowledge in the field of financial management, learn how to manage risks and make more informed decisions, this work will be a real find for you. It will suit both those who are just starting their way in the world of finance, and experienced professionals seeking to update their knowledge and skills. The topics raised in the book cover a wide range of issues related to financial management under uncertainty. Deryabin considers both theoretical aspects and practical tools that will help readers understand how to effectively manage financial flows and minimize risks. It focuses on the importance of analyzing financial data, forecasting and developing strategies, making the book relevant for anyone who wants to be one step ahead in the business world. The style of Vladimir Deryabin is clear and accessible, which makes complex financial concepts understandable even for those who do not have deep knowledge in this area. His ability to explain complex things in simple language and give examples from real practice allows the reader to easily absorb material. The author is also known for his other works on economics and finance, which confirms his expertise in this field. If you are looking for books on financial management, risk management, or economics, "Financial Management. Financial Risk Management” will be a great addition to your library This piece will not only enrich your knowledge, but also help develop the skills necessary for a successful career in the financial sector. Read, analyze and apply the knowledge gained in practice and you will see how your understanding of financial processes and risk management will become deeper and more conscious. Do not miss the opportunity to get acquainted with Deryabin’s work, which can become your reliable guide in the world of financial management and risk management.
LF/98867163/R

Data sheet

Name of the Author
В. А.
Дерябина
Language
Russian

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Financial management. Financial risk management

Financial Management . Vladimir Alexandrovich Deryabin’s Financial Risk Management is a deep and comprehensive study that immerses the reader in the world of fi...

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