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Life & Pensions:
Risk Books |
Risk Books is a global leader in specialist books on the financial risk management and derivatives markets. We are very proud to be a niche publisher that has quality as its top priority.
With over 150 different titles currently in print, Risk Books covers a wide range of technical subjects, from finance management and credit value adjustments, to coverage of the economic capital, energy markets and regulatory issues. Written by the highest calibre writers and accessible to both professionals and students alike, Risk Books wide selection of quality titles includes: Asset-Backed Credit Derivatives and A Guide to Quantitative Finance.
For more information, go to www.riskbooks.com
This book, the first of its kind, provides a detailed analysis of the interplay between liability calculations, the use of derivatives (including the highly innovative market in inflation derivatives), accounting rules and corporate finance.
A multi-author volume that provides a complete and non-technical presentation on all the very latest asset and liability management issues and techniques required to stay ahead of the curve in today's volatile climate. This volume is a total representation of the subject matter that cannot be found anywhere else in one title.