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The Economist: Dealing with Financial Risk: A Guide to Financial Risk Management

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The Economist: Dealing with Financial Risk: A Guide to Financial Risk Management
By
David SHirreff
Dealing with financial risk makes sense of what financial risk management involves both in theory and in practice. Organised in two parts with 17 chapters, it begins with the growth of financial markets and market theory, and goes on to look at some spectacular failures of risk management and the lessons that can be learned from them.
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