FIN 422 Risk Management and Derivatives

Usually offered

Spring
Fall

Level

Undergraduate

Prerequisite(s)

FIN 412
FIN 421
Examines how corporate financial managers and investors manage risk using derivative securities, such as options, swaps, futures, and forward contracts. Emphasis is on managing financial risk.
 
Available only to Finance majors.

Details

Grading

Regular Grades

Units

3

Instructor(s)

Dr. Scott Cederburg
Anjelina Belakovskaia