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24%OFFMichel Crouhy - The Essentials of Risk Management, Third Edition - 9781264258864 - V9781264258864
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The Essentials of Risk Management, Third Edition

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Description for The Essentials of Risk Management, Third Edition Hardback.

The “bible” of risk management—fully updated for an investing landscape dramatically altered by social and technological upheavals

When it was first published in 2005, The Essentials of Risk Management became an instant classic in risk management. Now, the authors provide a comprehensively updated and revised edition to help you succeed in a world rocked by unprecedented changes.

Combining academic research with real-world applications, this bestselling guide provides the expert insights that has made it so popular for so many years, covering the most effective ways to measure and transfer credit risk, increase risk-management transparency, and implement an organization-wide enterprise risk management approach. In addition, it covers a wide range of new issues, including:

  • Fallout from the COVID pandemic
  • New emerging risks associated with digital finance
  • The effect of climate change on risk management
  • Game-changing new technologies like machine learning, artificial intelligence, and distributed ledger technology

The definitive resource for quantifying risk versus return, The Essentials of Risk Management delivers everything you need to safeguard your investments in today’s economy.

Product Details

Format
Hardback
Publication date
2023
Publisher
McGraw-Hill Education
Condition
New
Number of Pages
640
Place of Publication
OH, United States
ISBN
9781264258864
SKU
V9781264258864
Shipping Time
Usually ships in 4 to 8 working days
Ref
99-2

About Michel Crouhy
Dr. Michel Crouhy is Senior Vice President, Global Analytics, Market Risk Management Division at Canadian Imperial Bank of Commerce (CIBC). Prior to this he was a Professor of Finance at HEC. He has been a visiting professor at Wharton School where he received his Ph.D. He has extensively published in academic journals and is also the associate editor of the Journal of Derivatives, the Journal of Banking and Finance. He is also on the editorial board of the new Journal of Risk. Dr. Dan Galai is the Abe Gray Professor of Finance and Business Administration at Hebrew University. He has been a visiting professor of Finance at INSEAD, and also has taught at UCLA and the University of Chicago where he received his Ph.D. He has consulted for the Chicago Board of Exchange and the American Stock Exchange. He has published numerous articles in leading business and finance journals and was the winner of the First Annual Pomeranze Prize for excellence in options research presented by the CBOE.

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