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Risk Management in Finance.

Desautels Faculty ManagementDepartment of Finance
Credits3
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Semester offeredSemester 1 (Fall), Semester 2 (Winter)
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Last updated3 months ago

Description

Understanding, quantifying, and managing different types of financial risks. A broad overview of the tools required of someone pursuing a career in risk management, whether it is at a bank, an asset management fund, or a non-financial business. Topics include corporate hedging with derivatives, volatility and correlation modelling, non-normal distributions, Monte Carlo and historical simulations, liquidity risk, and capital requirements.

Course outline
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