Risk Books has been a world leader in publishing specialist books on risk management and the financial markets for more than 20 years. We cover a wide range of technical subjects for practitioners, corporate users, academics and investors, ranging from the energy, insurance and currency markets to quant analysis, operational risk, derivatives, hedge funds, credit and regulatory issues. We continuously strive to improve the quality and effectiveness of our products and aim to bring readers content that engages, stimulates and, most of all, is useful in their work.
We are committed to maintaining our reputation as a leading, well-respected financial publisher and acknowledge that the expertise of our authors are our most important assets in publishing titles that our readers have come to expect. It has been our goal to establish relationships with writers and editors of the highest calibre, to be able to produce books that make a genuine difference.