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20 Best Financial Risk Books to Read in 2021 | Book List

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After an entertaining book to read? Looking for the perfect book to gift to your dad/mother/sister/anyone. This article showcases our top picks for the best Financial Risk books. 

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Best Financial Risk Books

Looking for a book to read in 2021? Explore this list of the best Financial Risk books. This list was curated with thanks to ISBNdb and images partially provided by Unsplash.

If you have a book suggestion, feel free to drop it in the moderated comment section at the bottom of the article.


Financial Risk Management: An End User Perspective

Financial Risk Management: An End User Perspective by Don M Chance was published in 2019. It was officially published by Wspc and has the ISBN: 9811202672.

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Financial Risk Management: An End User Perspective

Author: Don M Chance

Date Published: 2019

Publisher: Wspc

ISBN:9811202672


Model Risk In Financial Markets: From Financial Engineering To Risk Management

Model Risk In Financial Markets: From Financial Engineering To Risk Management by Radu Tunaru was published in 2015. It was officially published by Wspc and has the ISBN: 9814663409.

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Model Risk In Financial Markets: From Financial Engineering To Risk Management

Author: Radu Tunaru

Date Published: 2015

Publisher: Wspc

ISBN:9814663409


Perspectives On Systemic Risk: Hearing Before The Subcommittee On Capital Markets, Insurance, And Government Sponsored Enterprises Of The Committee On Financial Services, U.s. House Of Representatives, One Hundred Eleventh Congress, First Session, March 5, 2009

Perspectives On Systemic Risk: Hearing Before The Subcommittee On Capital Markets, Insurance, And Government Sponsored Enterprises Of The Committee On Financial Services, U.s. House Of Representatives, One Hundred Eleventh Congress, First Session, March 5, 2009 by United States Congress. House. Committee On Banking And Financial Services. Subcommittee On Capital Markets, Securities, And Government Sponsored Enterprises. was published in 2009. It was officially published by U.s. G.p.o. For Sale By The Supt. Of Docs., U.s. G.p.o. and has the ISBN: 0160838525.

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Perspectives On Systemic Risk: Hearing Before The Subcommittee On Capital Markets, Insurance, And Government Sponsored Enterprises Of The Committee On Financial Services, U.s. House Of Representatives, One Hundred Eleventh Congress, First Session, March 5, 2009

Author: United States Congress. House. Committee On Banking And Financial Services. Subcommittee On Capital Markets, Securities, And Government Sponsored Enterprises.

Date Published: 2009

Publisher: U.s. G.p.o. For Sale By The Supt. Of Docs., U.s. G.p.o.

ISBN:0160838525


An Introduction to Value-at-Risk

An Introduction to Value-at-Risk by Moorad Choudhry was published in 5/28/2013. It was officially published by Wiley, John & Sons, Incorporated and has the ISBN: 111831672X.

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An Introduction to Value-at-Risk

Author: Moorad Choudhry

Date Published: 5/28/2013

Publisher: Wiley, John & Sons, Incorporated

ISBN:111831672X


Derivatives in Islamic Finance: Examining the Market Risk Management Framework (Edinburgh Guides to Islamic Finance)

Derivatives in Islamic Finance: Examining the Market Risk Management Framework (Edinburgh Guides to Islamic Finance) by Ayoub, Sherif was published in 2014-07-16T00:00:01Z. It was officially published by Edinburgh University Press and has the ISBN: 0748695702.

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Derivatives in Islamic Finance: Examining the Market Risk Management Framework (Edinburgh Guides to Islamic Finance)

Author: Ayoub, Sherif

Date Published: 2014-07-16T00:00:01Z

Publisher: Edinburgh University Press

ISBN:0748695702


Economic Foundations Of Risk Management, The: Theory, Practice, And Applications

Economic Foundations Of Risk Management, The: Theory, Practice, And Applications by Jarrow, Robert A was published in 2016-11-02T00:00:01Z. It was officially published by WSPC and has the ISBN: 9813149965.

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Economic Foundations Of Risk Management, The: Theory, Practice, And Applications

Author: Jarrow, Robert A

Date Published: 2016-11-02T00:00:01Z

Publisher: WSPC

ISBN:9813149965


Semi-markov Risk Models For Finance, Insurance And Reliability

Semi-markov Risk Models For Finance, Insurance And Reliability by Jacques Janssen, Raimondo Manca was published in 2007. It was officially published by Springer and has the ISBN: 0387707298.

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Semi-markov Risk Models For Finance, Insurance And Reliability

Author: Jacques Janssen, Raimondo Manca

Date Published: 2007

Publisher: Springer

ISBN:0387707298


Quantifying Systemic Risk (national Bureau Of Economic Research Conference Report)

Quantifying Systemic Risk (national Bureau Of Economic Research Conference Report) by Haubrich, Joseph G. was published in 2013. It was officially published by University Of Chicago Press and has the ISBN: 0226319288.

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Quantifying Systemic Risk (national Bureau Of Economic Research Conference Report)

Author: Haubrich, Joseph G.

Date Published: 2013

Publisher: University Of Chicago Press

ISBN:0226319288


Credit Risk Management: Basic Concepts

Credit Risk Management: Basic Concepts by Bart Baesens, Tony Van Gestel was published in 2009. It was officially published by Oxford University Press and has the ISBN: 0199545111.

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Credit Risk Management: Basic Concepts

Author: Bart Baesens, Tony Van Gestel

Date Published: 2009

Publisher: Oxford University Press

ISBN:0199545111


Financial Innovation

Financial Innovation by Philip Molyneux, Nidal Shamroukh was published in 1999. It was officially published by Wiley and has the ISBN: 0471986186.

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Financial Innovation

Author: Philip Molyneux, Nidal Shamroukh

Date Published: 1999

Publisher: Wiley

ISBN:0471986186


Value at Risk: The New Benchmark for Managing Financial Risk

Value at Risk: The New Benchmark for Managing Financial Risk by Jorion, Philippe was published in 2000-08-17T00:00:01Z. It was officially published by McGraw-Hill and has the ISBN: 0071355022.

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Value at Risk: The New Benchmark for Managing Financial Risk

Author: Jorion, Philippe

Date Published: 2000-08-17T00:00:01Z

Publisher: McGraw-Hill

ISBN:0071355022


The Fear Factor: What Happens When Fear Grips Wall Street

The Fear Factor: What Happens When Fear Grips Wall Street by Read, C. was published in 2009. It was officially published by Palgrave Macmillan and has the ISBN: 0230228461.

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The Fear Factor: What Happens When Fear Grips Wall Street

Author: Read, C.

Date Published: 2009

Publisher: Palgrave Macmillan

ISBN:0230228461

Dictionary Of Financial Risk Management, Third Edition

Dictionary Of Financial Risk Management, Third Edition by Gary L. Gastineau, Mark P. Kritzman was published in 1999. It was officially published by Wiley and has the ISBN: 1883249570.

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Dictionary Of Financial Risk Management, Third Edition

Author: Gary L. Gastineau, Mark P. Kritzman

Date Published: 1999

Publisher: Wiley

ISBN:1883249570


Risk And Liquidity

Risk And Liquidity by Shin, Hyun Song. was published in 2010. It was officially published by Oxford University Press and has the ISBN: 0199546363.

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Risk And Liquidity

Author: Shin, Hyun Song.

Date Published: 2010

Publisher: Oxford University Press

ISBN:0199546363


Systemic Risk And The Financial Markets: Hearing Before The Committee On Financial Services, U.s. House Of Representatives, One Hundred Tenth Congress, Second Session, July 10, 2008

Systemic Risk And The Financial Markets: Hearing Before The Committee On Financial Services, U.s. House Of Representatives, One Hundred Tenth Congress, Second Session, July 10, 2008 by United States Congress. House. Committee On Financial Services. was published in 2008. It was officially published by U.s. G.p.o. For Sale By The Supt. Of Docs., U.s. G.p.o. and has the ISBN: 0160820677.

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Systemic Risk And The Financial Markets: Hearing Before The Committee On Financial Services, U.s. House Of Representatives, One Hundred Tenth Congress, Second Session, July 10, 2008

Author: United States Congress. House. Committee On Financial Services.

Date Published: 2008

Publisher: U.s. G.p.o. For Sale By The Supt. Of Docs., U.s. G.p.o.

ISBN:0160820677


Financial Cultures And Crisis Dynamics (routledge Frontiers Of Political Economy)

Financial Cultures And Crisis Dynamics (routledge Frontiers Of Political Economy) by Jessop, Bob., Young, Brigitte, Scherrer, Christoph. was published in 2015. It was officially published by Routledge and has the ISBN: 1138776041.

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Financial Cultures And Crisis Dynamics (routledge Frontiers Of Political Economy)

Author: Jessop, Bob., Young, Brigitte, Scherrer, Christoph.

Date Published: 2015

Publisher: Routledge

ISBN:1138776041


Financial Institutions Management

Financial Institutions Management by Saunders, Anthony, Cornett, Marcia Millon, Erhemjamts, Otgontsetseg was published in 2021. It was officially published by Mcgraw-hill Education, and has the ISBN: 9781260013825.

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Financial Institutions Management

Author: Saunders, Anthony, Cornett, Marcia Millon, Erhemjamts, Otgontsetseg

Date Published: 2021

Publisher: Mcgraw-hill Education,

ISBN:9781260013825


Total Exposure Management

Total Exposure Management by Banasiewicz, Andrew D was published in 2016-02-29T00:00:01Z. It was officially published by Erudite Systems LLC and has the ISBN: 0981569056.

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Total Exposure Management

Author: Banasiewicz, Andrew D

Date Published: 2016-02-29T00:00:01Z

Publisher: Erudite Systems LLC

ISBN:0981569056


Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab

Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab by Danielsson, Jon was published in 2011-04-25T00:00:01Z. It was officially published by Wiley and has the ISBN: 0470669438.

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Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab

Author: Danielsson, Jon

Date Published: 2011-04-25T00:00:01Z

Publisher: Wiley

ISBN:0470669438


Strategic Risk Management

Strategic Risk Management by Freeman, Andrew. was published in 1999. It was officially published by Economist Intelligence Unit and has the ISBN: 0862181046.

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Strategic Risk Management

Author: Freeman, Andrew.

Date Published: 1999

Publisher: Economist Intelligence Unit

ISBN:0862181046

20 Best Fabian Risk In Order Books to Read in 2021 | Book List

20 Best Financial Risk Management Books to Read in 2021 | Book List