- Module code: FN608A
- Credits: 7.5
- Semester: 2
- Department: ECONOMICS,FINANCE & ACCOUNTING
- Coordinator: Thomas Flavin (ECONOMICS,FINANCE & ACCOUNTING)
This module begins with an in-depth analysis of Forwards, Futures and Option contracts. We learn how to price these products and use them to hedge risk in the market place. We then proceed to Credit risk, Credit Derivatives and the associated process of securitisation.
On successful completion of the module, students should be able to:
|Teaching & Learning methods|
This timetable is not currently available, please contact the Economics,finance & Accounting Department.