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Financial Risk Management

Code: ACFI809

Credits: 15

Semester: Semester 2

This module will enable students to develop skills in evaluating, measuring and managing a range of financial risks to which companies are exposed. Particular emphasis will be placed on the measurement and management of market risks, cash flow risks, interest rate risks and credit risks. The module also includes a brief discussion of recent issues on risk management (emerging risks, the role of risk management failures etc.)