Carlson School of Management

FINA 6522 Introduction to Derivatives and Financial Risk Management

Tools, 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.

Fall 2014

Section 060 LEC (26202)

2 credits

A-F only; prereq 6121, MBA student; credit will not be granted if credit already received for: Fina 6622

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