Nov 21, 2024  
2021-2022 Academic Catalog V2 
    
2021-2022 Academic Catalog V2 [ARCHIVED CATALOG]

Add to Portfolio (opens a new window)

FIN 475 - Risk Analysis and Management


(3 Credits)

The course introduces students to the process of identifying domestic and international sources of corporate financial risk. The course prepares students to analyze and evaluate interest rate risk, exchange rate risk, and inflation risk. The course also introduces students to forward contracts, future contracts, swaps, and options as risk mitigating tools.

Prerequisite(s): FIN 333 



Add to Portfolio (opens a new window)