This paper equips students with the skills of managing financial risk exposures: interest rate risk, foreign exchange risk and commodity price risk. It is an advanced paper utilising the latest research pertaining to financial risk.
|Prerequisite(s):||Acceptance into the Master of Applied Finance programme.|
|Internal assessment / examination:||100:0|
Note: This paper is only available to MAppFin students.
Trimesters and Locations
|Occurrence Code||When taught||Where taught|
|20A (HAM)||A Trimester : 2 Mar 2020 - 28 Jun 2020||Hamilton|
|20B (HAM)||B Trimester : 13 Jul 2020 - 8 Nov 2020||Hamilton|
|20G (HAM)||G Teaching period : 9 Nov 2020 - 20 Dec 2020||Hamilton|
FINAN518-20A (HAM), 20B (HAM) have been cancelled. Please contact the School or Faculty Office for more information.
Timetabled Lectures for Financial Risk Management (FINAN518)
There are no timetabled lectures for FINAN518.
NB:There may be other timetabled events for this paper such as tutorials or workshops.
Visit the online timetable for FINAN518 for more details
Indicative Fees for Financial Risk Management (FINAN518)
Paper outlines are currently not available for this paper. Please contact the Faculty or School office for further details.
Available Subjects: Finance
Paper details current as of : 31 July 2020 9:24am
Indicative fees current as of : 4 June 2020 3:25pm