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Books

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 include: Hedge Funds and Prime Brokers - Second Edition, Managing Hedge Fund Risk and An Introduction to Hedge Funds.

For more information go to, www.riskbooks.com.

Recommended Books:

Hedge Funds and Prime Brokers - Second Edition hfr-hfs-and-pbs

The financial crisis is reshaping the hedge fund industry. Governments wish to regulate hedge funds. Prime brokers have curtailed funding, which impacts hedge fund trading and profitability. Regulators are bringing increasing numbers of hedge fund fraud and ponzi scheme cases. How will hedge funds and prime brokers respond?

This is the first book that discusses each and every global hedge fund proposal.

Managing Hedge Fund Riskmanaging-hedge-fund-risk-book

A highly accessible primer on hedge fund risk illustrated with practical examples. It analyses recent developments in risk management research and stresses the importance of working in partnership with your clients to develop a wide range of products and looks at how to tailor hedge fund invesmtents to specific needs.

 

An Introduction to Hedge Fundshfr-intro-to-hf-book

This introductory text, clearly explains what a hedge fund is, how it interacts with service providers, how it operates and - particularly appropriate to today's markets - what happens when things go wrong.

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