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Financial Risk Management
Written by T. Luijf   
Tuesday, 04 January 2011 15:09
Academic year: 2010-2011
Semester: Fall AugustĀ - December
Final Grade: 8.0
ECTS achieved: 5.0

Financial Risk Management covered the actions a fund manager/investor can take to hedge their open position to the different risks an investor is exposed to. Covered methods include, but not limited to: options, future rate agreements (FRA), and future contracts. The final grade is based on a final exam.