FIN521 Corporate Treasury Management (8)
Prerequisite: FIN516
Enrolment Restriction: Postgraduate Students only
This subject examines tools and techniques for the management of financial price risk. The subject examines the rationale for financial risk management, the dimensions of financial price risk (interest rate, currency and commodity price risk), and the pricing and application of derivative financial instruments used in the management of financial price risk. Assumed knowledge for this subject is equivalent to that covered in FIN516 and FIN530.
