FINAN304

Financial Risk Management

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.

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.

Paper Information

Points: 15.0
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

Timetabled Lectures

The Timetable for 2022 is not available.


Indicative Fees

Fees for 2022 are not yet available.


Paper Outlines

The following 2021 paper outlines are available for FINAN304. Please contact the Faculty or School office for details on 2022 outlines.

Additional Information

Available Subjects:  Finance

Other available years: Financial Risk Management - FINAN304 (2021) , Financial Risk Management - FINAN304 (2020) , Financial Risk Management - FINAN304 (2019)

Paper details current as of : 21 September 2021 3:21pm
Indicative fees current as of : 22 September 2021 4:30am

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