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Mastering Risk Management for Financial Institutions
This book is a comprehensive guide for financial professionals looking to understand and navigate the complex world of risk management within financial institutions. With a focus on managing return and risk, it offers insights and strategies for effectively mitigating risks in various sectors, including commercial banking, investment banking, and insurance. Whether you're a seasoned professional or just starting out in the industry, this book will equip you with the knowledge and tools you need to excel in risk management and make informed decisions to maximize profitability.
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Discount applied automatically when you add them to your cart!
This book may contain very minor cosmetic defects, but it is in pristine condition. There should be no yellowing, no foxing, no water damage, and no annotations of any kind on the cover and the pages. For paperbacks, there should not be any crease marks on the spine. This book is good as new — lucky you!
*Books may be missing bundle media (e.g. CD, e-book code), if included.
This book has been used, but it is still in a clean condition. There should be no foxing or annotations of any kind on the inner pages, but a sparse amount may be present on the cover, title pages, or outside edges of the book. There should be no water damage of any kind. For paperbacks, there may be light crease marks on the spine.
*Books may be missing bundle media (e.g. CD, e-book code), if included.
We do our best to ensure the quality of our books, but there is no escaping the wear and tear that comes with time. Slight foxing and some annotations may be present on the pages and the cover. There should be no water damage of any kind. For paperbacks, there may be several crease marks on the spine.
*Books may be missing bundle media (e.g. CD, e-book code), if included.
This is a well-read book, which means that the previous owner probably really enjoyed it! The cover and pages may include moderate foxing and annotations, but the text is not obscured and still readable. Moderate cosmetic defects and minor water damage may be present on the edges of the book. For paperbacks, there may be multiple crease marks on the spine.
*Books may be missing bundle media (e.g. CD, e-book code), if included.
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Mastering Risk Management for Financial Institutions
This book is a comprehensive guide for financial professionals looking to understand and navigate the complex world of risk management within financial institutions. With a focus on managing return and risk, it offers insights and strategies for effectively mitigating risks in various sectors, including commercial banking, investment banking, and insurance. Whether you're a seasoned professional or just starting out in the industry, this book will equip you with the knowledge and tools you need to excel in risk management and make informed decisions to maximize profitability.
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