TY - BOOK AU - Arora R. K. TI - Financial Risk Management SN - 9789390395637 U1 - 658.155 PY - 2023/// CY - New Delhi PB - Wiley India Pvt. Ltd. KW - General management N1 - Chapter 1 Introduction to Financial Risk Management Chapter 2 Market Risk: Sensitivity Measures Chapter 3 Volatility and Correlation Chapter 4 Value at Risk and Expected Shortfall Chapter 5 Management of Market Risk Chapter 6 Estimating Default and Migration Probabilities Chapter 7 Credit Value at Risk Chapter 8 Credit Risk Management Chapter 9 Operational Risk Chapter 10 Liquidity Risk Chapter 11 Model Risk Chapter 12 Asset Liability Management Chapter 13 Enterprise Risk Management Chapter 14 Financial Innovation Chapter 15 Role of Analytics in Risk Management N2 - Financial Risk Management is designed to provide the readers with a stronger foundation in measurement and management of financial risks. This book takes the readers through the subject in a step-wise manner with the aim of providing necessary knowledge and skills for evaluating and dealing with financial risks. This book is primarily meant for graduate students of Management, and it would also prove helpful to the students intending to appear in the FRM examination conducted by Global Association of Risk Professionals (GARP) as well as practicing risk managers ER -