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Published: 2001
Author: Dan Borge
Publisher: John Wiley & Sons
Genre: Business, Finance, Risk Management
Paperback: 244 pages
Condition: 8/10 (Used, good condition)
The Book of Risk is a comprehensive and accessible introduction to the concept of risk in modern finance and business. Written by Dan Borge, a former banker and risk management expert, the book explains how risk functions within financial markets, corporations and investment decisions. It breaks down complex topics such as credit risk, market risk and operational risk into clear, understandable terms, making it suitable for both professionals and general readers. The book highlights how risk is not merely something to avoid, but something to measure, manage and even leverage for opportunity. Borge also explores the evolution of risk management practices, particularly in the context of global financial systems, and emphasizes the importance of transparency, discipline and informed decision-making. Through real-world examples and practical insights, the book serves as both an educational guide and a strategic resource for anyone looking to better understand how risk shapes business and financial outcomes.
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