Semester:SS 25
Art:Modul
Sprache:Englisch
ECTS-Credits:3.0
Plansemester:2
Lektionen / Semester:30.0 L / 22.5 h
Selbststudium:67.5 h
Art:Modul
Sprache:Englisch
ECTS-Credits:3.0
Plansemester:2
Lektionen / Semester:30.0 L / 22.5 h
Selbststudium:67.5 h
Modulleitung/Dozierende
- Prof. Dr. Michael Hanke
(Modulleitung)
Studiengang
Masterstudium Finance (01.09.2020)Masterstudium Innovative Finance (01.09.2024)
Lehrveranstaltungen
Lernergebnisse
After successful completion of the course, students will
Professional competences
- understand the importance and the potential of financial risk management for financial practice.
- select and apply appropriate risk management techniques in practice.
- understand financial crises and their relation to (bad) risk management.
- estimate risk measures from financial data using a range of established models.
- value credit derivatives
- apply appropriate methods to identify and measure financial risks.
- use R for simple calculations.
Kompetenzen
Lehrmethoden
- Interactive lecture
- Exercises to be solved individually or in groups between classes
Voraussetzungen (inhaltlich)
- Contents from first semester courses Financial Markets, Statistics, Econometrics
Literatur
- Hull, J.C. (2023) Risk Management and Financial Institutions, 6th ed., Wiley Finance.
Prüfungsmodalitäten
Final written exam