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Risk Management and Financial Institutions

ISBN-10: 0136102956
ISBN-13: 9780136102953
Edition: 2nd 2010
List price: $206.67
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Description: John C. Hullrsquo;sFinancial Risk Management ,2e is the only text to take risk management theory and explain it in a ldquo;this is how you do itrdquo; manner for practical application in todayrsquo;s real world. Hullrsquo;s text offers students the  More...

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Book details

List price: $206.67
Edition: 2nd
Copyright year: 2010
Publisher: Prentice Hall PTR
Publication date: 6/9/2009
Binding: Mixed Media
Pages: 576
Size: 8.00" wide x 9.75" long x 0.75" tall
Weight: 2.684
Language: English

John C. Hullrsquo;sFinancial Risk Management ,2e is the only text to take risk management theory and explain it in a ldquo;this is how you do itrdquo; manner for practical application in todayrsquo;s real world. Hullrsquo;s text offers students the ability to gain knowledge that will stay with them beyond college and be useful in the real world. This text focuses on the ways banks and other financial institutions measure market, credit and operational risk.

John C. Hull is the noted author of such texts as Introduction to Futures and Options, Markets and Options, Futures, and Other Derivatives. In these books, and others, he explains in readable form concepts related to the Futures market, investing, and business. Largely aimed at students, Hull's books serve as an excellent introduction to the field or a valuable refresher to those already in the corporate world. John C. Hull has been a professor of finance and director of the Centre for Finance Studies at the University of Toronto in Canada. He received degrees from Cranfield University, Cambridge University, and Lancaster.

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