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This course aims to provide RMI major students with a basic knowledge of the standard instruments used in financial risk management, and emphases on their applications in hedging risks and creating various risk profiles consistent with the investor's expectations of asset price movements. Students will be equipped with skills for making decisions of managing financial risks through understanding how to value and to employ derivative securities in a variety of contexts.
Required first
BR2201Risk ModellingIntroduction To Financial Risk Management
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