riskbooks.com

risk-books

Risk Books are the established world leader in producing specialist books on risk management and the financial markets.

Why do market leaders buy Risk Books?

Risk Books has been a world leader in specialist books on risk management and the financial markets for over 15 years. We are very proud to be a niche publisher that has quality as its top priority.

Our mission is to produce books that truly add value by providing the very best and up-to-date information on our specialist subjects. With over 150 different titles currently in print, Risk Books covers a wide range of technical subjects from finance management and credit value adjustments to coverage of the energy markets and regulatory issues. With 20 new titles published each year, Risk Books offers publications for both experts and students alike.

All our books are written and edited by leading professionals and academics. It has been our enduring goal over the years to attract writers and editors of the highest calibre to produce specialist books that make a real difference. Risk Books guarantee content quality that will inspire you, no matter where you find yourself in your journey through this fascinating industry. Please see for yourself and take some time to browse the website for a full range of intriguing titles from Risk Books.

  • Equip yourself with the tools and techniques to minimise risk, generate profits and compete more effectively
  • Gain first-hand experience and insight from leading global practitioners
  • Learn about new theories from top academics in the field
  • Find out about cutting-edge research and current thinking
  • Discover pioneering models and methodologies

At Risk Books, we are committed to maintaining our reputation as a leading, well-respected financial publisher. We acknowledge that the quality and expertise of our authors is our most important asset in continually publishing titles that are at the forefront of our industry.

In recognition of the high regard that we hold for our authors, we endeavour to make publishing with us an efficient, professional and friendly process. We build relationships of mutual respect and many of our authors have developed prolific and successful writing careers with us.

That’s why market leaders read Risk Books.

Who reads Risk and Central Banking Books?

Risk Books covers a wide range of subjects within the risk management and derivatives sector. We attract a wide spectrum of readers keen to further their knowledge and ability in important niche areas such as credit and default risk, operational risk, hedge funds, derivatives and options, quantitative analysis, energy and commodities, foreign exchange and currency risk, corporate risk and many more.

Our books range from introductory texts for newcomers to the field to high-level reports for chief executives, helping professionals to develop new skills at all stages of their careers.

We serve risk professionals at all levels including

  • Risk managers
  • Analysts
  • Chief financial officers
  • Compliance officers
  • Asset managers
  • Chief investment officers
  • Fund managers
  • Investment managers
  • Operational risk managers and quants
  • Researchers
  • Academics

Check out the Risk Books range here

Contact details

Publisher
Nick Carver

+44 (0) 20 7004 7405
Email Nick

Marketing manager
Phil Jackson

+44 (0) 20 7004 7467
Email Philip