In today’s fast-paced world, managing financial risks has become more important than ever. Whether it’s a business, a financial institution, or an individual investor, understanding and dealing with uncertainty is key to survival and success. Financial Risk Management is a book designed to guide readers through the basic concepts and practical tools used to identify, understand, and reduce financial risks.
This book covers a wide range of topics in a simple and structured manner. From understanding what financial risk is, to learning how to deal with credit risks, market fluctuations, and operational challenges, it provides a clear path for readers to follow. It explains common tools and strategies like diversification, insurance, and financial planning, along with an introduction to more advanced ideas such as risk modeling and regulations.
Written in easy-to-understand language, this book is ideal for students, young professionals, entrepreneurs, or anyone curious about how financial risks affect our lives and what we can do about them. Real-life examples and scenarios are included to help connect theory with everyday situations, making the learning experience both practical and engaging.
Financial Risk Management is not just a textbook or a guide; it is a roadmap to developing a more thoughtful, informed, and prepared approach to financial decision-making. It encourages readers to be proactive, stay informed, and make smarter financial choices in the face of uncertainty.
Whether you are just starting your journey in finance or looking to strengthen your understanding of financial risks, this book is a valuable resource that will help you take control of your financial future.
Books
Financial Risk Management
₹800.00
AUTHOR | Dr. Phole Kamal Bhaurao |
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ISBN | 978-93-6422-036-1 |
Language | English |
Pages | 202 |
Publication Year | 2025 |
Binding | Paperback |
Publisher | Addition Publisher |
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