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Finance and Risk ManagementLaajuus (3 op)

Opintojakson tunnus: LX00AA62

Opintojakson perustiedot


Laajuus
3 op

Osaamistavoitteet

By the end of the course, the student will be able to:
- Appreciate the general nature of financial risk in our society
- Be able to clearly distinguish between pure and speculative risk situations
- Understand the key purposes of global financial markets
- Appreciate the nature of the different types of financial markets in operation
- Develop an understanding of how it is possible to hedge but never completely eliminate financial risk

Sisältö

The global financial markets
The structure and behaviour of Financial Markets
Pure and Speculative Risk Management
Hedging and Speculation

Esitietovaatimukset

English Language Proficiency

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