2021-2022 Catalog

FIN-816 Risk Management in Banking and Finance

The course introduces students to the structure and management of international financial-services firms and methods through which financial institutions manage risk. The course discusses tools for identifying, measuring, evaluating, and managing risks, such as interest rate, credit, foreign exchange, liquidity, market, sovereign, and operational risk. The course also introduces key regulations and discusses important ethical issues in the financial-services industry.

Credits

3

Prerequisite

Take MBA-650;

Offered

Fall, Spring