This
book contains some concepts relating to various forms of financial assets,
asset hazards, and risk management approaches and strategies for dealing with
diverse financial assets. It discusses the advanced level of conversation in
order to assist beginner risk managers in clarifying topics. This book is meant
to spark a thought process among company financial risk managers in order to
effectively resolve a specific challenge connected to asset protection.
This book also deals with the protection of financial assets, which is a hotly
disputed topic among worldwide observers, since many modern businesses have
recognised financial risk management as a means of achieving regulatory
compliance. It concludes that financial risk management is proving to be an
effective practise of economic value within international firms, primarily
involving the management of exposure to financial instruments, and that
financial risk management techniques can assist risk managers in better gauging
risk and making more informed decisions.
Author(s) Detalis
Mohammed Bayyoud
Department of Banking & Finance, Al-Quds University, Palestine.
Oroubah Barghouthi
Department of Banking &
Finance, Al-Quds University, Palestine.
View Book:- https://stm.bookpi.org/FRMWAP/article/view/2707
Thursday, 12 August 2021
Financial Risk Management: Ways towards Assets Protection | Book Publisher International
Subscribe to:
Post Comments (Atom)
No comments:
Post a Comment