This textbook offers a comprehensive study of risk management strategies in corporate finance. It explains how firms identify, assess, and mitigate financial risks arising from market volatility, interest rate changes, and credit exposure. Readers explore concepts such as derivatives, hedging, portfolio diversification, and enterprise risk management frameworks. With case examples and practical tools, it bridges theoretical finance with corporate decision-making. Ideal for business, finance, and MBA students, the book provides the analytical skills needed to manage uncertainty and safeguard organizational value in dynamic markets.
Engineering
Financial Risk Management in Corporation
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