Nov 27, 2024  
2012 - 2013 Graduate Catalog 
    
2012 - 2013 Graduate Catalog [ARCHIVED CATALOG]

BUAD 508 - Derivatives and Risk Management


1.5

Introduces credit risk, market risk, liquidity risk and operations risk. Examines characteristics and valuation of options, futures, forwards, and swaps and how they are used to manage risk. Explores the concept of an effective hedge and general methods of measuring risk.