4108093: C15 Risk Management and Financial Derivatives

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Semester:SS 16
Art:Modul
Sprache:Englisch
ECTS-Credits:9.0
Plansemester:2
Lektionen / Semester:77.0 L / 58.0 h
Selbststudium:212.0 h

Modulleitung/Dozierende

Studiengang

Masterstudium Finance (01.09.2015)

Ziele

After completion of the module, students realize both the importance and the potential of financial risk management. They relate financial risk management to other areas of finance and within financial institutions. In particular, they know about the risks associated with financial derivatives as well as their potential for applications in risk management and financial engineering.

Kompetenzen