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20 Best risk management for investing 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 risk management for investing books. 

Best risk management for investing Books

Looking for a book to read in 2021? Explore this list of the best risk management for investing 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.


Investing And Risk Management

Investing And Risk Management by Kuhn, Robert Lawrence (editor) was published in 1990. It was officially published by Dow Jones-irwin, Amazon and has the ISBN: 1556232489.

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Investing And Risk Management

Author: Kuhn, Robert Lawrence (editor)

Date Published: 1990

Publisher: Dow Jones-irwin, Amazon

ISBN:1556232489


Fund Of Funds Investing: A Roadmap To Portfolio Diversification

Fund Of Funds Investing: A Roadmap To Portfolio Diversification by Daniel A. Strachman, Richard S. Bookbinder was published in 2009. It was officially published by Wiley and has the ISBN: 0470258764.

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Fund Of Funds Investing: A Roadmap To Portfolio Diversification

Author: Daniel A. Strachman, Richard S. Bookbinder

Date Published: 2009

Publisher: Wiley

ISBN:0470258764


The Investment Think Tank: Theory, Strategy, and Practice for Advisers

The Investment Think Tank: Theory, Strategy, and Practice for Advisers by Harold Evensky, Deena B. Katz was published in November 2004. It was officially published by Wiley, John & Sons, Incorporated and has the ISBN: 157660165X.

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The Investment Think Tank: Theory, Strategy, and Practice for Advisers

Author: Harold Evensky, Deena B. Katz

Date Published: November 2004

Publisher: Wiley, John & Sons, Incorporated

ISBN:157660165X


Hedge Funds: Strategies, Risk Assessment, and Returns

Hedge Funds: Strategies, Risk Assessment, and Returns by Greg N. Gregoriou, Vassilios N. Karavas, Fabrice Rouah, Fabrice Douglas Rouah was published in March 2004. It was officially published by Beard Group Inc. and has the ISBN: 158798203X.

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Hedge Funds: Strategies, Risk Assessment, and Returns

Author: Greg N. Gregoriou, Vassilios N. Karavas, Fabrice Rouah, Fabrice Douglas Rouah

Date Published: March 2004

Publisher: Beard Group Inc.

ISBN:158798203X


Bond Portfolio Investing and Risk Management

Bond Portfolio Investing and Risk Management by Vineer Bhansali was published in 20100917. It was officially published by McGraw-Hill Professional and has the ISBN: 0071713255.

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Bond Portfolio Investing and Risk Management

Author: Vineer Bhansali

Date Published: 20100917

Publisher: McGraw-Hill Professional

ISBN:0071713255


Bond Portfolio Investing and Risk Management

Bond Portfolio Investing and Risk Management by Bhansali, Vineer was published in 2010-09-09T00:00:01Z. It was officially published by McGraw-Hill Education and has the ISBN: 0071623701.

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Bond Portfolio Investing and Risk Management

Author: Bhansali, Vineer

Date Published: 2010-09-09T00:00:01Z

Publisher: McGraw-Hill Education

ISBN:0071623701


Bond Portfolio Investing And Risk Management

Bond Portfolio Investing And Risk Management by Bhansali, Vineer. was published in 2011. It was officially published by Mcgraw-hill and has the ISBN: 9780071623704.

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Bond Portfolio Investing And Risk Management

Author: Bhansali, Vineer.

Date Published: 2011

Publisher: Mcgraw-hill

ISBN:9780071623704


Real-Time Risk: What Investors Should Know About FinTech, High-Frequency Trading, and Flash Crashes

Real-Time Risk: What Investors Should Know About FinTech, High-Frequency Trading, and Flash Crashes by Irene Aldridge; Steven Krawciw was published in 2017-02-08. It was officially published by Wiley Professional Development (P&T) and has the ISBN: 1119319048.

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Real-Time Risk: What Investors Should Know About FinTech, High-Frequency Trading, and Flash Crashes

Author: Irene Aldridge; Steven Krawciw

Date Published: 2017-02-08

Publisher: Wiley Professional Development (P&T)

ISBN:1119319048


The New Science of Asset Allocation: Risk Management in a Multi-Asset World

The New Science of Asset Allocation: Risk Management in a Multi-Asset World by Thomas Schneeweis, Garry Crowder, Hossein Kazemi was published in March 2010. It was officially published by Wiley, John & Sons, Incorporated and has the ISBN: 047053740X.

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The New Science of Asset Allocation: Risk Management in a Multi-Asset World

Author: Thomas Schneeweis, Garry Crowder, Hossein Kazemi

Date Published: March 2010

Publisher: Wiley, John & Sons, Incorporated

ISBN:047053740X


Risk Management in the Polish Financial System

Risk Management in the Polish Financial System by Marian Noga; Konrad Raczkowski; Jarosław Klepacki was published in 20151021. It was officially published by Springer Nature and has the ISBN: 1137549025.

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Risk Management in the Polish Financial System

Author: Marian Noga; Konrad Raczkowski; Jarosław Klepacki

Date Published: 20151021

Publisher: Springer Nature

ISBN:1137549025


Evaluating And Implementing Hedge Fund Strategies

Evaluating And Implementing Hedge Fund Strategies by Ron Lake was published in 1996. It was officially published by World Pubn Service and has the ISBN: 1855644169.

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Evaluating And Implementing Hedge Fund Strategies

Author: Ron Lake

Date Published: 1996

Publisher: World Pubn Service

ISBN:1855644169


Offshore Living and Investing: Understanding international investing, risk management, portf…

Offshore Living and Investing: Understanding international investing, risk management, portf… by David A. Tanzer was published in . It was officially published by and has the ISBN: 097068441X.

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Offshore Living and Investing: Understanding international investing, risk management, portf...

Author: David A. Tanzer

Date Published:

Publisher:

ISBN:097068441X

Credit Derivatives Risk Management, Trading And Investing

Credit Derivatives Risk Management, Trading And Investing by Geoff Chaplin was published in 2005. It was officially published by John Wiley & Sons and has the ISBN: 0470024178.

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Credit Derivatives Risk Management, Trading And Investing

Author: Geoff Chaplin

Date Published: 2005

Publisher: John Wiley & Sons

ISBN:0470024178


Credit Derivatives: Trading, Investing, and Risk Management

Credit Derivatives: Trading, Investing, and Risk Management by Chaplin, Geoff was published in 2010-04-19T00:00:01Z. It was officially published by Wiley and has the ISBN: 0470686448.

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Credit Derivatives: Trading, Investing, and Risk Management

Author: Chaplin, Geoff

Date Published: 2010-04-19T00:00:01Z

Publisher: Wiley

ISBN:0470686448


Credit Derivatives

Credit Derivatives by Geoff Chaplin was published in 2010-03-30. It was officially published by Wiley and has the ISBN: 0470689862.

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Credit Derivatives

Author: Geoff Chaplin

Date Published: 2010-03-30

Publisher: Wiley

ISBN:0470689862


Active Index Investing: Maximizing Portfolio Performance and Minimizing Risk Through Global Index Strategies

Active Index Investing: Maximizing Portfolio Performance and Minimizing Risk Through Global Index Strategies by Steven A. Schoenfeld was published in 8/4/2011. It was officially published by Wiley, John & Sons, Incorporated and has the ISBN: 1118160800.

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Active Index Investing: Maximizing Portfolio Performance and Minimizing Risk Through Global Index Strategies

Author: Steven A. Schoenfeld

Date Published: 8/4/2011

Publisher: Wiley, John & Sons, Incorporated

ISBN:1118160800


Abnormal Returns: Winning Strategies from the Frontlines of the Investment Blogosphere

Abnormal Returns: Winning Strategies from the Frontlines of the Investment Blogosphere by Tadas Viskanta was published in 20120511. It was officially published by McGraw-Hill Professional and has the ISBN: 0071787119.

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Abnormal Returns: Winning Strategies from the Frontlines of the Investment Blogosphere

Author: Tadas Viskanta

Date Published: 20120511

Publisher: McGraw-Hill Professional

ISBN:0071787119


Minding the Corporate Checkbook: A Manager’s Guide to Executing Successful Business Investments

Minding the Corporate Checkbook: A Manager’s Guide to Executing Successful Business Investments by Kursh, Steven R. was published in 2004-03-29T00:00:01Z. It was officially published by FT Press and has the ISBN: 0131002880.

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Minding the Corporate Checkbook: A Manager's Guide to Executing Successful Business Investments

Author: Kursh, Steven R.

Date Published: 2004-03-29T00:00:01Z

Publisher: FT Press

ISBN:0131002880


Frontiers in Fixed-Income Management : The State-of-the-Art in Credit Risk, Analytical Techniques and Portfolio Strategies

Frontiers in Fixed-Income Management : The State-of-the-Art in Credit Risk, Analytical Techniques and Portfolio Strategies by Thomas Ho was published in 5/1/1995. It was officially published by McGraw-Hill Companies, The and has the ISBN: 155738875X.

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Frontiers in Fixed-Income Management : The State-of-the-Art in Credit Risk, Analytical Techniques and Portfolio Strategies

Author: Thomas Ho

Date Published: 5/1/1995

Publisher: McGraw-Hill Companies, The

ISBN:155738875X


Global Portfolio Diversification: Risk Management, Market Microstructure, and Implementation Issues

Global Portfolio Diversification: Risk Management, Market Microstructure, and Implementation Issues by Raj Aggarwal, David C. Schirm was published in December 1994. It was officially published by Emerald Group Publishing and has the ISBN: 012044500X.

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Global Portfolio Diversification: Risk Management, Market Microstructure, and Implementation Issues

Author: Raj Aggarwal, David C. Schirm

Date Published: December 1994

Publisher: Emerald Group Publishing

ISBN:012044500X

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