Managing And Measuring Risk: Emerging Global Standards And Regulations After The Financial Crisis
Discover the essential insights into risk management with "Managing And Measuring Risk: Emerging Global Standards And Regulations After The Financial Crisis" by Oliviero Roggi. Published by World Scientific Publishing Co Pte Ltd in 2013, this comprehensive hardback edition spans 520 pages and features contributions from leading scholars and practitioners in the field.
This book delves into the significant advancements in risk measurement and management, alongside the evolving regulations within the financial industry. It offers a thorough overview of emerging global standards, providing readers with a well-rounded perspective on the complexities of risk management in today's financial landscape. Ideal for professionals and academics alike, this work is crucial for anyone looking to navigate the post-crisis regulatory environment effectively.
Enhance your understanding of risk management and stay informed about the latest developments with this authoritative resource.