About us

Risk Books is an established world leader in specialist books on the financial risk management and derivatives markets. We are proud to be a niche publisher that has quality as its top priority.

Our mission is to produce books that truly add value by delivering the very best information on our specialist subjects. And with more than 150 different titles currently in print, Risk Books covers a wide range of technical subjects for academics, practitioners, investors and corporate users - ranging from derivatives, hedge funds, quant analysis, credit, regulatory issues and operational risk to the energy, insurance and currency markets – with books for experts and scholars alike.

Let us know if you'd like to find out about publishing with Risk Books, or if you spot gaps in our coverage. Recently published titles include Intelligent Commodity Investing, Operational Risk Manager's Guide and An Introduction to Hedge Funds.

All of our books are written and edited by leading professionals and academics. Indeed, it has been our enduring goal over the years to establish relationships with writers and editors of the highest calibre, and produce books that make a genuine difference. But please see for yourself, and take some time to browse the website – for a range of texts guaranteed to inspire, at any level of your career, in this fascinating industry.

Thank you for your interest in Risk Books.

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Theory and Practice of Credit Risk ModellingTheory and Practice of Credit Risk Modelling
Introduced by Alexander Lipton
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