The product is a textbook titled "Risk Management for Central Banks and Other Public Investors" authored by Fernando Gonzalez. It was published by Cambridge University Press in 2011 and is intended for those interested in the subject areas of Banks & Banking, Investments & Securities, Portfolio Management, Finance, Decision-Making, and Problem Solving. The textbook is a trade paperback format, with a length of 9.6 inches, a height of 1.1 inches, and a width of 6.7 inches. It has 542 pages and weighs 30 ounces, providing comprehensive coverage on risk management strategies for public investors.