Financial Markets and Financial Institutions. Risk Management, 15 credits
The course gives an introduction to financial intermediaries and the analysis and management of risk within financial institutions. It starts with an overview of financial intermediaries and discusses the various risks that these institutions are exposed to. Practical techniques for measuring and controlling risk in financial institutions are introduced. The course looks at systematic risk in financial markets from a regulatory and historical perspective. Financial crises occur repeatedly, why an historical perspective on regulation and risk management is necessary. The course contains cases that builds actual historical crisis.
Language of instruction: English
Level: Undergraduate level 2
Department offering the course: Institutionen för ekonomisk och industriell utveckling
Contact: Kerstin Karlsson, International Exchange Coordinator, 013-281806, international@ffk.liu.se
Pernilla Mideskog, study counsellor, 013-281527, pernilla.mideskog@liu.se
Malin Gröndahl Maass, study counsellor, 013-281507, malin.grondahl-maass@liu.se
Specific admission requirements: At least two years of undergraduate studies with at least 60 ECTS credits in Business administration (equivalent)e.
| Course information | ||
|---|---|---|
| Semester: Autumn 2013 | ||
| Enrolment code: LIU- | ||
| Rate of study: Full-time | ||
| Campus: Linköping | ||
| Study Period: 201344 - 201403, 28 October 2013-17 January 2014 | ||
| Course code: 723G32 | ||
| Tuition fee: 23745 SEK | ||
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See the contact person above
Last updated: Fri Jun 07 04:01:53 CEST 2013

