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Caulfield First semester 2007 (Evening)
Financial deregulation and instability in global economies; volatility of asset prices and consequent risks to investors; financial exposures; measuring risk (including interest rate risk) and awareness of the tools available for removing or modifying such risks including futures, forwards, options and swaps.
The learning goals associated with this unit are to:
Assignment: 30%
Examination (3 hours): 70%
3 hours per week
Completion of an acceptable undergraduate degree.
AFF4040