FINC331 Risk Management
This course offers an in-depth introduction to financial risk management, emphasizing the identification, analysis, and mitigation of risks within financial institutions. The class will focus on various financial risks, including market, credit, operational, and liquidity risks, through a mix of theoretical concepts and practical applications. Key areas of focus include risk measurement techniques, regulatory frameworks, and effective risk management strategies.
Prerequisite
None
Corequisite
None
Distribution
Business