
FINAN304-22H (NET)
Financial Risk Management
15 Points
Staff
Convenor(s)
Susanna Lu
4973
MSB.3.20
susanna.lu@waikato.ac.nz
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Paper Description
The unifying theme in this paper is the application of modern finance theory to the financial decision making and management of financial institutions. The subject of decision making in financial institutions is approached from a risk perspective. This paper covers the major decision areas for financial institution management within the framework of a regulatory and "corporate responsible" environment. The main topics covered are various financial risks and their management including interest rate risk, credit risk, liquidity risk, foreign exchange risk and market risk within the international context.
Paper Structure
This is a net-based paper. There is no face-to-face lecture. There is no tutorials. Lectures will be recorded in Panopto and uploaded to Moodle for students to study. Practice questions with answers will be provided to students for self-practice.
Learning Outcomes
Students who successfully complete the course should be able to:
Assessment
Assessment Components
The internal assessment/exam ratio (as stated in the University Calendar) is 100:0. There is no final exam.
Required and Recommended Readings
Required Readings
Online Support
Workload
For this 15-point paper, the expected workload is approximately allocated as follows:
40 hours: Study lecture recordings
50 hours: Self-practice questions
60 hours: Prepare for the tests (including textbook reading) and assignments
Linkages to Other Papers
Prerequisite(s)
Prerequisite papers: FINA201 or FINAN200 or FINAN202