Skip to Content

This is archived information!

Search current Handbook for current unit information.

Risk Management and Derivatives - AFIN806

This unit examines current techniques for measuring and managing the financial risk faced by corporate 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
When Offered:

D1 - Day; Offered in Session 1, North Ryde

D2 - Day; Offered in Session 2, North Ryde

Staff Contact(s): Dr Geoffrey Loudon
Prerequisites:

ACST603 or admission to MCom or MIB or MEc or MActPrac prior to 2011 Prerequisite Information

Corequisites:

NCCW(s): ACCG806
Unit Designation(s):

Commerce

Economics

Assessed As: Graded
Offered By:

Department of Applied Finance and Actuarial Studies

Faculty of Business and Economics

Timetable Information

For unit timetable information please visit the Timetables@Macquarie Website