Understanding and Measuring Risk in Finance

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Simanta Das

Abstract

There are various uncertainties in Finance. All these uncertainties constitute risks. Risks are of various kinds and they are present in a financial system in different types and form. Risks can be classified into various categories based on their types. Measuring risk is also important from research point of view and hence this paper touches upon all aspects of risks.

 

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How to Cite
Das, S. (2014). Understanding and Measuring Risk in Finance. The International Journal of Business & Management, 2(8). Retrieved from https://internationaljournalcorner.com/index.php/theijbm/article/view/127681