Reference Books of Risk Management

risk management

If you are looking for BFM Reference Books of Risk Management, then your search ends here as we present the list of books with the author names and publications.

Reference Books of Risk Management:

  • Credit Risks. Models and management, David Shimko, Risk Books, 2004.

  • Credit Risk Measurement, Antony Saunders, John Wiley and Sons, 2002.

  • The book of Risk Dan Borge, John Wiley & Sons, 2001

  • Dictionary of Financial Engineering, John F. Marshall, John Wiley & Sons, 2001

  • The Financial Risk Manual, John Hollowell, F.T. Prentice Hall 2000

  • Equity Derivatives & Market Risk Models, Oliver Brockhaus &Michael Forkas, Risk Books, 2000.

  • Managing currency risk using foreign exchange options, Alan Hicks, Cambridge University Press,

  • Risk Management, Michel Crouhy, Dan Galai and Robert Mark, Irwin 2000

  • Risk and risk bearing charles Hardy, Risk Books 1999\

  • Introduction to Interest Rate Risk Financial World Publishing 2000

  • Risk Management &Financial Derivatives : A Guide to Mathematics, Satyajit Das, Palgrave, 1998.

  • Enterprise Wide Risk Management, James Deloach, F.T. Prentice Hall, 2000

  • The business of Hedging, John Stephens, F.T. Prentice Hall, 2000

  • Theory and Practice of Treasury and Risk Management in Banks, Taxmanns, New Delhi, 2006

  • Taxmanns Credit Risk Management, Bidani S.N. & Mitra P.k. Taxmann, New Delhi, 2004

  • Cases on Risk Management, Howard W.M.

  • Risk Management, IIBF, Macmillan India Ltd, 2005.

  • The Complete Guide to Business Risk Management, Jaico Publishing House, Mumbai 2001.

  • Managing Risk in the New Economy, Dimitris Chorafas, NYIF, 2001

  • The Risk Management Process, Chritopher L.Culp, John Wiley & Sons, 2001.

  • Liquidity Black Holes, Avinash Persaud, Risk Books, 2003

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