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Risk Management In Digital Finance
Risk Management In Digital Finance
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€122.99
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A01=Wee Yeap Lau
A01=Zeng Li
Alternative Finance Models
Anti-Money Laundering
Artificial Intelligence
Author_Wee Yeap Lau
Author_Zeng Li
Behavioral Finance
Big Data Analytics
Blockchain Governance
Blockchain Security
Capital Adequacy
Category=KFFF
Category=KFFX
Central Bank Digital Currency (CBDC)
Credit Assessment
Credit Derivatives
Credit Risk
Credit Scoring
Cross-border Payments
Cryptocurrency Risk
Cyber Risk Management
Cybersecurity
Data Breaches
Data Security
Decentralized Exchanges
Decentralized Finance
Decentralized Identity
Decentralized Insurance
DeFi Liquidity Pools
Derivatives Trading
Digital Asset Custody
Digital Asset Pricing
Digital Banking
Digital Finance
Digital Lending Risk
Digital Payments
Embedded Finance
Emerging Market Risks
eq_bestseller
eq_business-finance-law
eq_isMigrated=1
eq_isMigrated=2
eq_nobargain
eq_non-fiction
Financial Crime
Financial Ecosystem Risks
Financial Fraud Detection
Financial Market Infrastructure
Financial Regulation
Financial Risk Framework
Financial Stability
Fintech Compliance
Fintech Innovation
Fraud Prevention
Hacking Prevention
High-frequency Trading
Investment Risk
Investment Strategies
Liquidity Crisis
Liquidity Risk
Machine Learning
Macroeconomic Risk
Market Manipulation
Market Risk
Network Risk
Operational Risk
Payment Gateways
Portfolio Management
Portfolio Optimization
Privacy Computing
Quantitative Finance
Quantitative Risk Metrics
Regulatory Arbitrage
Regulatory Compliance
Regulatory Technology
Risk Assessment
Risk Control
Risk Exposure
Risk Management
Risk Mitigation Strategies
Risk Modeling
Risk Premium
Robo-Advisors
Smart Contracts
Stablecoins
Stress Testing
Supervisory Technology
Sustainable Finance Risks
Systemic Risk
Tokenomics
Value at Risk Expected Shortfall
Volatility
Product details
- ISBN 9789819818211
- Publication Date: 12 Sep 2025
- Publisher: World Scientific Publishing Co Pte Ltd
- Publication City/Country: SG
- Product Form: Hardback
This book focuses on systematically discussing risk management in the field of digital finance. It starts from classical risk management frameworks and elaborates on specific risk contents in five different aspects: market risk, credit risk, liquidity risk, operational risk, and investment portfolio risk. Using digital finance as the starting point, the book analyzes the characteristics of its risks and the cutting-edge risk management tools, including classic digital finance cases and models. Subsequently, a further discussion on the latest issues facing the digital finance field and potential solutions aims to guide the future direction of risk management in digital finance.Written in a user-friendly manner, this book helps financial practitioners and scholars systematically grasp the key theories, models, methods, and conclusions of risk management in the field of digital finance. It is equally suitable for graduate and advanced undergraduate courses in finance and risk management, MBA students specializing in finance, as well as corporate and institutional investors.
Risk Management In Digital Finance
€122.99
