BUSN 660 Financial Risk Management
This graduate-level course provides a comprehensive examination of financial risk management principles, methodologies, and practices in contemporary business environments. Students will explore various types of financial risks faced by organizations, including market risk, credit risk, liquidity risk, and operational risk, and learn how to identify, measure, mitigate, and monitor these risks effectively. Through a combination of theoretical concepts, case studies, simulations, and practical applications, learners will develop the analytical skills and strategic mindset necessary to manage financial risks and enhance organizational resilience.
Offered
Summer