Financial Risk Manager Handbook 2001-2002: Revolutionizing Risk Management Practices for Global Markets.
The "Financial Risk Manager Handbook 2001-2002" covers various aspects of financial risk management, including quantitative analysis, capital markets, market risk management, credit risk management, operational and integrated risk management, legal, accounting, and tax risk management, as well as regulation and compliance. It provides insights into bond fundamentals, probability, statistics, derivatives, risk factors, hedging, credit exposure, operational risk, best practices, and regulatory frameworks like the Basel Accord.