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FINA 6522 Introduction to Derivatives and Financial Risk ManagementTools, tactics, strategies of risk management. Treasury risk measurement, interest rate risk management, currency risk management, credit risk management. Value-at-risk approach to integrated risk management. Risk management/corporate financing decisions. Internal control systems. Accounting/disclosure issues.
Section 060 LEC (34613)
A-F only; prereq 6121, MBA student; credit will not be granted if credit already received for: Fina 6622