FIN 422 Risk Management
Examines applications and theory of strategic and financial market choices in the management of firm risk. Students develop competency in assessing and measuring the risk of a firm as well as the use of risk management tools.
Credits
3
Prerequisite
FIN 301,
FIN 310,
FIN 320, and
FIN 321 (all with C- or higher); or permission of instructor and admission to upper division Business School.