2012-2013 Graduate Catalogue Archived Catalogue
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IMB 533 - Portfolio Management III: Derivatives and Financial Risk ManagementCredits: (2) This course is designed to provide an understanding of financial and commodity derivative contracts to facilitate effective risk management in corporations. The focus of the course will be on applications of these instruments rather than valuations methods. Extensive discussions of real world cases will be included in the material.
Click here for the Fall 2024 Class Schedule.
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