Risk Management and Derivatives, 7,5 credits
The course focuses on financial decisions in a global environment. This is important since companies buy materials abroad, export their products, invest in foreign countries, and raise funds in the international financial markets. All these activities expose companies to different kinds of risks. Important tools in international corporate finance will be covered, such as hedging, risk management, futures and options. The course will use a case study based approach, where the cases are supported by lectures.
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).
| Course information | ||
|---|---|---|
| Semester: Spring 2014 | ||
| Enrolment code: LIU- | ||
| Rate of study: Full-time | ||
| Campus: Linköping | ||
| Study Period: 201419 - 201423, 5 May-5 June 2014 | ||
| Course code: 723G33 | ||
| Tuition fee: 11873 SEK | ||
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Last updated: Fri Jun 07 04:01:53 CEST 2013

