Risk Management In Finance
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About the Book
Risk Management, in theory, consists of rules, regulations and procedures. Successful application of the same calls for imagination, innovation and common sense. It is because risk perception differs from person to person and impacts vary from one situation to other, standard formula may not work in all cases. The book contains good amount of details on rules and regulations and also cover practical aspects of risk management. Students as well as Banking and Finance Professionals will find this book an ideal companion to understand Risk Management.

About the Author

S. Arunajatesan, has been a professional banker with over three decades of experience with State Bank of India. . He has expertise in the area of personnel management and held the positions of Vice Principal, SBI Institute of Rural Management, Hyderabad and SBI Staff Training College, Chennai. He had also experience in SBI Capital Market Ltd and SBI Mutual Funds Ltd. With his exposure in various banking operations in SBI, he rose to the position of Deputy General Manager as a reward for his performance. Since his retirement he has been a visiting faculty to Loyola Institute of Management and MOP Vaishnav College for Women, Chennai and Bharathidasan Institute of Management, Trichy.He is a Trustee and an Advisor on the Board of Institute of Economic Education



Table of Contents:
• Introduction to Risk • Financial Risk Management • Enterprise Risk Management • Overview of Financial and Banking Risks • Risk Management in Banks • Insurance Business Risk • Investment Risk Management in Insurance Companies
Book Details
ISBN-13: 9789325984554
Publisher: Vikas Publishing House
Binding: Paperback
Language: English
ISBN-10: 9325984555
Publisher Date: 2015
Edition: 1
No of Pages: 208