Risk Management and Financial Institutions (6th Edition) by John C. Hull, published by Wiley on February 14, 2023, is the gold standard in financial risk management textbooks. This comprehensive guide offers an incisive discussion of financial risk and the regulation of financial institutions. Readers will gain a deep understanding of financial markets, the risks they present to various financial institutions, and how these risks are influenced by common regulatory structures. The book expertly blends discussions on best practices in risk management with holistic treatments of financial institution regulation, covering market, credit, liquidity, model, climate, cyber, and operational risks. This sixth edition includes updated ancillary and digital materials, such as software, practice questions, and teaching supplements, along with access to an updated website reflecting the new content.
ISBN-10: 1119932483
ISBN-13: 978-1119932482
