Managing Risk in Financial Institutions
- Enseignant(s): F.Weigert
- Titre en français: Gestion du risque dans les institutions financières
- Cours donné en: anglais
- Crédits ECTS: 3 crédits
- Horaire: Semestre d'automne 2022-2023, 2.0h. de cours (moyenne hebdomadaire)
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séances
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site web du cours
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Formations concernées:
Maîtrise universitaire ès Sciences en finance, Orientation gestion des actifs et des risques
Maîtrise universitaire ès Sciences en finance, Orientation finance d'entreprise
Maîtrise universitaire ès Sciences en finance : Entrepreneuriat financier et science des données -
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ObjectifsCourse objective: This course provides an introduction to financial risk management techniques on the master level. We will cover important techniques to model and manage market risk, credit risk, and operational risk. In addition, focus is given how to adequately model assets' volatility and dependence structures (among each other). At the end of the course, student should have a profound knowledge to identify, model, and manage the main risks of financial institutions. The course is structured into lectures, exercises, and guest lectures. ContenusMain topics:
Grading: Your grade will be determined by the following:
RéférencesCourse textbook:
Other useful textbooks:
I will also assign some research papers during the course. Pré-requisGood knowledge in quantitative methods, asset pricing, and portfolio management. Evaluation1ère tentative
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