Description |
1 online resource (xii, 303 pages) : illustrations |
Contents |
pt. 1. Introduction to financial risk -- pt. 2. Accounting, cash flow, and budget exposures -- pt. 3. Analyzing operating risks -- pt. 4. Relationship of risk and return -- pt. 5. Nature of a capital investment decision -- pt. 6. Factors that affect the value of a firm. |
Summary |
Because all business is risky business. Managing financial risk boils down to understanding how to reduce a complex business environment into workable concepts and models. The AMA Handbook of Financial Risk Management provides readers with the tools they need for dealing with the most important areas of financial decision making. Filled with strategies, principles, and measurement techniques, the book shows readers how to: ò Categorize financial risks ò Reduce risks from cash flow and budget exposures ò Analyze operating risks ò Understand the interrelationship of risk and return ò Manage risk. |
Language |
English. |
Subject |
Financial risk management.
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Risk management.
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Finances -- Gestion du risque. |
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Gestion du risque. |
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risk management. |
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Financial risk management |
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Risk management |
Added Title |
Handbook of financial risk management |
Other Form: |
Print version: Hampton, John J., 1942- AMA handbook of financial risk management. New York : American Management Association, 2011 9780814417447 (DLC) 2010048291 (OCoLC)688559423 |
ISBN |
9780814417454 (electronic bk.) |
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0814417450 (electronic bk.) |
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9781621983354 (electronic bk.) |
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1621983358 (electronic bk.) |
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(print) |
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(print) |
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1784021725 |
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9781784021726 |
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1283099772 |
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9781283099776 |
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9786613099778 |
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6613099775 |
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