Finance School of management Contents 10.1 What is risk? 10.2 Risk and Economic decisions 10.3 The risk Management Process 10. 4 The Three Dimensions of risk Transfer 10.5 Risk Transfer and Economic efficiency 10.6 Institutions for Risk Management 10.7 Portfolio Theory: Quantitative Analysis for Optimal risk management 10.8 Probability Distributions of Returns 10.9 Standard deviation as a measure of risk uesTc2 Finance School of Management 10.1 What is Risk? 10.2 Risk and Economic Decisions 10.3 The Risk Management Process 10.4 The Three Dimensions of Risk Transfer 10.5 Risk Transfer and Economic Efficiency 10.6 Institutions for Risk Management 10.7 Portfolio Theory: Quantitative Analysis for Optimal Risk Management 10.8 Probability Distributions of Returns 10.9 Standard Deviation as a Measure of Risk Contents