Apr 19, 2024  
2010-2011 Catalog 
    
2010-2011 Catalog [ARCHIVED CATALOG]

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MBA 543 - Financial Markets, Derivative Instruments and Risk Management


A mix of seminars and case discussions are used to study the application of recent innovations in financial management. Includes financial futures and options as well as interest rate caps, floors, collars and swaps. Foreign currency risk exposure and management are studied in the context of international financial management. Other topics include pension fund design and management, asset securitization and financial distress.

Prerequisites & Notes:
MBA 516

Credits: 4
Grade Mode: L

Coll of Business and Economics
Master of Business Admin



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