University of Calgary

FNCE 667 - Financial Risk Management - Winter 2022

A framework for evaluating financial risks and managing them with the use of financial securities including derivatives. Includes firm valuation with risk management, value-at-risk, testing financial models, optimal hedging strategies, energy risk management, market risk, static versus dynamic strategies, interest rate risk, credit risk and liquidity risk. Case analysis of financial disasters due to risk management failures.
This course may not be repeated for credit.

Hours

  • (3-0)

Prerequisite(s)

  • Finance 601. Also known as: (formerly Finance 767)

Sections

Powered by UNITIS. More features.