BUSFIN 705 - Financial Risk Management
Faculty
Business and Economics
Department
Graduate School of Management
Points:
15
Available Semesters:
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Course Components
Labs
Tutorials
Lectures
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Description: Analyses the impact of a company's exposure to financial risks, including exchange rate risk, interest rate risk, and other financial price risks. Develops skills and strategies to mitigate potential financial risk exposure, including the use of hedging policies that contain derivative instruments. Considers the impact of environmental and social factors in the development of corporate risk management strategies.
Prerequisites / Restrictions
Enrolement requirements not found
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