Risk Management and Financial Institutions
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Risk Management and Financial Institutions

by John C. Hull

Finance Textbook Risk Management
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Risk Management and Financial Institutions offers a focused guide to understanding risk within the financial sector. John C. Hull presents the subject for readers interested in banking, investment, and institutional finance, making this a relevant resource for students, professionals, and anyone seeking a foundation in financial risk management.

About This Book

Risk Management and Financial Institutions examines the role of risk management within the financial sector.

Written by John C. Hull, the book addresses a subject central to banking, investment, and institutional finance.

It is suited to readers seeking a structured understanding of financial risk and the institutions responsible for managing it.

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I will be using this book for: