|
You are here:
Macquarie
» 2005 Handbooks
» Units
» ACCG806
ACCG806: Risk Management and Derivatives |
This unit examines current techniques for measuring and managing the financial risk faced by corporates and financial institutions, with an emphasis on the practical use of derivative financial products such as forwards, futures, swaps and options to manage risk.
| Credit Points: | 4 |
| Contact Hours: | -- |
| When Offered: |
E2 - Evening; Offered in the second half-year
VP - Vacation Period
(On Campus session: Jan/Feb 2006) X2 - External study; Offered in the second half-year
|
| Staff Contact: |
Dr Geoffrey Loudon |
| Prerequisites: |
|
| Corequisites: |
|
| NCCWs: |
|
| Unit Designations: |
--
| | Assessed As: |
Graded
|
| Offered By: |
EFS - Division of Economic and Financial Studies |
|
|
|
|