Financial Risk Management: Theory and Practice
- Indbinding:
- Hardback
- Sideantal:
- 235
- Udgivet:
- 14. juni 2019
- Størrelse:
- 279x216x14 mm.
- Vægt:
- 835 g.
- 8-11 hverdage.
- 12. december 2024
Forlænget returret til d. 31. januar 2025
Normalpris
Abonnementspris
- Rabat på køb af fysiske bøger
- 1 valgfrit digitalt ugeblad
- 20 timers lytning og læsning
- Adgang til 70.000+ titler
- Ingen binding
Abonnementet koster 75 kr./md.
Ingen binding og kan opsiges når som helst.
- 1 valgfrit digitalt ugeblad
- 20 timers lytning og læsning
- Adgang til 70.000+ titler
- Ingen binding
Abonnementet koster 75 kr./md.
Ingen binding og kan opsiges når som helst.
Beskrivelse af Financial Risk Management: Theory and Practice
Financial risk management is fundamental to every organization. This discipline delves into the use of financial management tools to minimize operational, market and economic risks. Financial risk management is crucial to keep the interests of both the stakeholders and the organization safe. This book on financial risk management presents some key concepts and theories related to this field. It attempts to understand the multiple branches that fall under this discipline and how such concepts have practical applications. This book is a resource guide for both academicians and those who wish to pursue this discipline further.
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