Dealing With Financial Risk: A Guide to Financial Risk Management (Economist)

Dealing With Financial Risk: A Guide to Financial Risk Management (Economist)

by David Shirreff (Author)

Synopsis

This book presents the concept of financial risk and the realties of financial risk management. Understanding risk and weighing risk against reward have become central to all commercial activity in particular to the financial markets. The concept of risk management used to refer to exclusively to the insurance industry but it was hijacked by wizards in financial institutions in the 1980s, initially to make their gambling in the markets seem more respectable. Good risk management requires a constant sharpening of one's awareness to new risks and to the probabilities of different outcomes. This guide will increase the reader's risk awareness, by presenting concepts in a simple and entertaining way, and by explaining the endeavors, mistakes and successes of others, as they have tried to identify, measure and simplify risk, and make it work for them. It looks at swaps, futures, options, derivatives, hedging principles, formulas, Monte Carlo simulations, chaos theory, neural networks, Raron (or risk-adjusted rate of return on capital), stress tests, worst case scenarios and all kinds of games that are played in the cause of managing risk. With great panache, color and clarity David Shirreff does a remarkable job of throwing light on one of the most complicated aspects of business and finance.

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More Information

Format: Hardcover
Pages: 224
Edition: Main
Publisher: Economist Books
Published: 27 May 2004

ISBN 10: 1861975910
ISBN 13: 9781861975911

Author Bio
David Shirreff is capital markets editor of The Economist. Previously he wrote about risk for Euromoney and was co-founder of Risk magazine.