Бакалавриат
2022/2023![Expected Learning Outcomes](/f/src/global/i/edu/results.svg)
![Course Contents](/f/src/global/i/edu/sections.svg)
![Interim Assessment](/f/src/global/i/edu/intermediate_certification.svg)
Риск-менеджмент
Статус:
Курс обязательный (Международный бизнес и менеджмент)
Направление:
38.03.02. Менеджмент
Кто читает:
Департамент финансов
Где читается:
Санкт-Петербургская школа экономики и менеджмента
Когда читается:
3-й курс, 4 модуль
Формат изучения:
без онлайн-курса
Охват аудитории:
для своего кампуса
Язык:
английский
Кредиты:
3
Контактные часы:
40
Course Syllabus
Abstract
Risk Management is a course about quantification of uncertainty in which a company functions and tools to navigate towards the most preferable outcome. The course contains lectures (14 hours) and seminars (26 hours). There are a lot of aspects of risk management. Even though fundamental principles of risk management are given in the course that would guide how to deal with any risk management problem, the main focus is on finance.
Expected Learning Outcomes
- Students understand fundamentals of risk management.
- Students know how changes in interest rate affect fixed-income securities.
- Students are able to construct option strategies in order to counter expected risk.
- Students can apply exchange rates and estimate how currency exchange rate changes can affect national economies.
- Students are familiar with variety of credit risk evaluation methods.
- Students understand institutional challenges with credit risk.
Course Contents
- Introduction and Modern Portfolio Theory
- Interest Rate Risk
- Derivatives
- Foreign Exchange Risk
- Credit Risk
- Systemic Risk
Interim Assessment
- 2022/2023 4th module0.2 * Test 2 + 0.2 * Test 3 + 0.2 * Test 4 + 0.2 * Test 5 + 0.2 * Test 1