Author: Lu Wenying
Publisher:
Publish Date: 2006-06-01
Features: China's financial system has long been regarded as one of the most challenging aspects of its economic reform. This book summarizes the development of China's risk management system over the past two decades, the evolution of financial risk management models, and identifies the weak links and urgent issues in financial prevention. It provides in-depth analysis and arguments on the risks existing in various sectors of China's financial industry, including the securities industry, banking, insurance, and fund industry. Drawing on the experiences and lessons learned from the Asian financial crisis and domestic and international risk management practices, the book conducts extensive case studies, presenting various types of risks to readers and offering clear guidance on risk awareness and prevention. This book is suitable for researchers and practitioners in finance, securities, funds, and other fields, as well as students and faculty in economics and finance programs at universities and colleges.
Financial risk management
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