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Risk Management and Financial Institutions (6th Edition) – PDF

eBook Details

  • Author: John C. Hull
  • File Size: 8 MB
  • Format: PDF (converted)
  • Length: 833 Pages
  • Publisher: Wiley; 6th edition
  • Publication Date: February 8, 2023
  • Language: English
  • ASIN: B0BVD3C1HS
  • ISBN-10: 1119932483, 1119932491, 1119932505
  • ISBN-13: 9781119932482, 9781119932505, 9781119932499

Original price was: $83.00.Current price is: $18.00.

SKU: risk-management-and-financial-institutions-6th-edition-ebook Categories: , , , , Tags: , ,

About The Author

John C. Hull

John C. Hull

Dr. John Hull is the Maple Financial Professor of Derivatives and Risk Management at the Joseph L. Rotman School of Management, University of Toronto, Canada. He is an internationally recognized authority on derivatives and risk management with many publications in this field. His work has an applied focus.

In 1999, Dr. Hull was voted Financial Engineer of the Year by the International Association of Financial Engineers. He has acted as a consultant to many Japanese, North American, and European financial institutions. He has won many teaching awards, including the University of Toronto’s prestigious Northrop Frye award.

RISK MANAGEMENT AND FINANCIAL INSTITUTIONS, SIXTH EDITION

The sixth edition of “Risk Management and Financial Institutions,” written by John C. Hull, is the go-to textbook for financial risk management. This newly revised edition provides a comprehensive discussion on financial risk and regulation in financial institutions. It covers topics such as financial markets, the risks faced by different types of financial institutions, and the impact of regulatory structures on these risks.

The book combines best practices in risk management with a thorough understanding of financial institution regulation. It covers various types of risks, including market, credit, climate, cyber, liquidity, model, and operational risk.

The latest edition offers several noteworthy features, including:

  • Access to an updated website that reflects the new content
  • Updated ancillary and digital materials covering the latest content, including software, practice questions, and teaching supplements
  • In-depth coverage of significant financial market developments since the fifth edition, such as regulatory changes, the increasing importance of climate risk, the use of machine learning models, and the phasing out of LIBOR

This textbook is a necessary resource for both undergraduate and graduate students studying business and finance. It solidifies its reputation as the gold standard in risk management resources.

ISBN: 978-1119932482, 978-1119932505, 978-1119932499

NOTE: The sale only includes the ebook version of “Risk Management and Financial Institutions 6th Edition” in a converted PDF format. It does not include any access codes.