2013-12-01 Machinery Industry Press Financial Risk Management of risk management based on years of experience. combined with the latest international risk management theory and regulatory regulations. Basel and EU regulatory capabilities solvency II No. (Sovency ) were carried out interpretation. and in particular the financial sector at home and abroad in recent years many actual cases the banking sector conducted in-depth research. Financial Risk Management provides both the operational level of risk managers for guidance. they can provide useful lessons for middle and senior risk managers. suitable for risk management practitioners interested in the domestic financial theory researchers. university teachers and students of business risk management professionals are also great reference. About the Author Wang Yong. Vice President of th...