98770 - Financial Risk Management

Academic Year 2026/2027

Learning outcomes

On completion of the module students will be able to (a) evaluate the fundamental characteristics of major derivative instruments, (b) assess the function and impact of such instruments for corporate financing and risk management, and (c) more broadly, critically appreciate the recent research in the area of financial derivatives for investing and risk management purposes.

Syllabus

The syllabus has not been published yet.

Office hours

See the website of Giovanni Cardillo