Author: Zaiqiang Huo
Publisher:
Publish Date: 2004-10-01
Features: This book primarily focuses on elaborating the fundamental theories and methods of financial risk management, as well as exploring the strategies and tactics of financial risk management. The entire book is divided into two aspects. The first aspect explains the strategies for preventing and resolving financial risks from a systematic perspective. The second aspect, from the perspective of the financial industry, provides detailed discussions on the characteristics and management methods of major fields in financial risk management, including banking risk management, securities risk management, insurance risk management, and the connotations of financial regulation, among others. It proposes strategies for financial institutions to prevent and resolve risks. This book can serve as a reference for professionals in higher education institutions, as well as for financial institution managers, theoretical researchers, business enterprises, government economic management personnel, and individuals interested in financial risk management.
Modern Financial Risk Management: Planning Textbooks for Economics and Management Series of Universities and Colleges in the 21st Century
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