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Risk Management and Financial Institutions, + Web Site Paperback – May 8 2012


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Risk Management and Financial Institutions, + Web Site + Options, Futures, and Other Derivatives and DerivaGem CD Package (8th Edition) + Student Solutions Manual for Options, Futures, and Other Derivatives
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Product Details

  • Paperback: 672 pages
  • Publisher: Wiley; 3 edition (May 8 2012)
  • Language: English
  • ISBN-10: 1118269039
  • ISBN-13: 978-1118269039
  • Product Dimensions: 17.8 x 4.4 x 25.4 cm
  • Shipping Weight: 1.2 Kg
  • Average Customer Review: 3.5 out of 5 stars  See all reviews (2 customer reviews)
  • Amazon Bestsellers Rank: #66,459 in Books (See Top 100 in Books)
  • See Complete Table of Contents

Product Description

From the Back Cover

Risk Management and Financial Institutions Third Edition + WEBSITE

Written by one of the most respected authorities on financial risk management, Risk Management and Financial Institutions explains all aspects of financial risk as well as the way financial institutions are regulated.

Fully revised and updated, this new edition includes coverage of Basel 2.5, Basel III, and Dodd-Frank as well as expanded sections on counterparty credit risk, central clearing, and collateralization. The new Third Edition:

  • Describes the activities of different types of financial institutions, explains how they are regulated, and covers market risk, credit risk, operational risk, liquidity risk, and model risk

  • Features new content on Basel III, Dodd-Frank, counterparty credit risk, central clearing, collateralization, and much more

  • Provides readers with access to a supplementary website offering software and unique learning aids

About the Author

John C. Hull is the Maple Financial Group Chair in Derivatives and Risk Management at the Joseph L. Rotman School of Management, University of Toronto, and codirector of Rotman's Master of Finance program. He has acted as consultant to many North American, Japanese, and European financial institutions, and is the author of three books and an associate editor of eight academic journals.


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Most helpful customer reviews

By Krishna on Sept. 9 2013
Format: Paperback Verified Purchase
A good book on risk management for financial institutions. At times, I felt the book tilted more towards theory than practice. I wish the book had more examples on bank specific risk management practices.
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By ablayefelix on Feb. 23 2013
Format: Paperback Verified Purchase
This book is good for people interested by Financial Risk Management. It's easy to use. I bought because I study Financial Risk Management.
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Most Helpful Customer Reviews on Amazon.com (beta)

Amazon.com: 16 reviews
2 of 2 people found the following review helpful
Good book, lacking mathematical rigor July 11 2013
By Thor P. Nielsen - Published on Amazon.com
Format: Paperback Verified Purchase
This book is quite good, it is definantly soft on the math and will be accessible to most readers. The author puts some effort into explaining the real world applications and how risk manamanet in financial institutions is actually done. Less emphasis is put on the models used.

It is a good buy if you already know the maths, or if you want a kid-friendly introduction it this stuff.
2 of 2 people found the following review helpful
Good textbook Aug. 26 2012
By AmyK - Published on Amazon.com
Format: Kindle Edition Verified Purchase
Great read for a textbook, good examples used throughout which enhances the experience. Broken down into manageable chapters. Would recommend for a financial capital or risk management course.
1 of 1 people found the following review helpful
Hull makes risk management real! Jan. 19 2014
By Seboni - Published on Amazon.com
Format: Paperback Verified Purchase
I was very reluctant to read Hull's book for non academic purposes and the one attempt I made of this book proved to be the beginning of an enjoyable reading experience. I think this book should be made popular in the Financial Engineering programs in most universities while the other currently famous writings by Hull serve to develop specific topics in the industry. Many practitioners would benefit a great deal from this book, at least in as far as asking the right questions is concerned. There are many banking professionals who barely know what a bank is and could benefit from this book in many ways.
This is by far the worst text book I've read about financial risks Oct. 27 2014
By S.C. Mom - Published on Amazon.com
Format: Paperback Verified Purchase
This is by far the worst text book I've read about financial risks. Examples given are not adequate, this is a book for people who already know the concepts and calculations of financial risks. For beginner who try to understand and learn about how to calculate risks and hedging, please stay away from this book. It is ambiguous, examples are not conclusive, after reading the book, you still won't be able to answer the problems at end of chapters. No wonder it is selling for a low price. Most post-baccalaureate or undergraduate text books cost over a hundred dollars.
Fair March 26 2013
By J. Benny - Published on Amazon.com
Format: Paperback
Formulas are spread out too much and appears in different methods. Book flow is strange at times but an average read for intro to risk.


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