This paper develops student understanding of risk markets and how financial institutions and firms manage risk exposure, including interest rate risk, foreign exchange risk and commodity price risk.
|Prerequisite(s):||FINA201 or FINAN101 or FINAN200 or FINAN202|
|Internal assessment / examination:||FINAN304-22B (HAM) 100:0, 22B (TGA) 50:50, 22H (NET) 100:0, 22X (ZUC) 100:0|
Trimesters and Locations
|Occurrence Code||When taught||Where taught|
|22B (HAM)||B Trimester : 18 Jul 2022 - 13 Nov 2022||Hamilton|
|FINAN304-22B (HAM) is offered in FLEXI mode. For those taking the paper online, please note there are some elements that require students to be online at specified times.|
|22B (TGA)||B Trimester : 18 Jul 2022 - 13 Nov 2022||Tauranga|
|22H (NET)||H Teaching period : 3 Jan 2022 - 20 Feb 2022||Online|
|22X (ZUC)||X Teaching period : 5 Sep 2022 - 22 Jan 2023||Zhejiang University City College, Hangzhou China|
The Timetable for 2022 is not available.
Fees for 2022 are not yet available.
Available Subjects: Finance
Paper details current as of : 21 September 2021 3:21pm
Indicative fees current as of : 22 September 2021 4:30am