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Archived Curricula Guide 2008–2010
Curricula Guide is archieved. Please refer to current Curricula Guides
BCS7A Risk Management and Financial Institutions 5 ECTS
Organised by
Business Competence
Person in charge
Antti Kanto
Course is available for:
  • Major subject students

Learning outcomes

To give students knowledge and understanding of the risk management.

Contents

The course deals with the ways in which risks are quantified and managed by financial institutions. Among the topics covered are market risk, credit risk, operational risk, the regulation of banks, and the credit derivatives market.

Teaching methods

Lectures and exercises (about 24 h)

Teaching language

English

Modes of study

Evaluation and evaluation criteria

Numeric 1-5.
Preliminary exam, assignments, final exam

Recommended year of study

2. year autumn

Study materials

To be announced by the professor in charge

Belongs to following study modules

Department of Management Studies
2009–2010
Teaching
Archived Teaching Schedule. Please refer to current Teaching Shedule.
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Department of Management Studies