Description
Durham Business School – Financial Risk Management
Department: Business School (Business)
Financial Risk Management
Aims
To build on the core module ‘Managing Finance’ by providing students with the advanced knowledge needed to understand the strategies proposed by specialist practitioners in the field (e.g. corporate treasurers), and the skills to contribute to discussions of risk management up to board level.
Content
Introduction. Return-Risk tradeoffs. Efficient frontier. CAPM model.
Trading in markets. Short selling. Plain Vanilla derivatives: Forwards, futures, swap and options.
How traders manage risks using parameters such as Delta, Gamma etc.
Interest rate risk. Duration and convexity of bonds.
Value at Risk (VaR). Expected shortfalls (ES). Difference between ES and VaR.
Credit risk. Credit default swaps (CDS).
Volatility.
Learning Outcomes
Subject-specific Knowledge:
General techniques used in the valuation of financial derivatives;
Hedging techniques using structured financial derivatives;
Computational methods for financial risk assessment and management.
Subject-specific skills:
By the end of the module students should be able to:
Identify and evaluate the principal financial risks faced by a large company;
Apply techniques of asset portfolio management, with particular emphasis on bond and bill portfolios;
Identify and evaluate the methods by which those risks can be managed, and the extent to which such methods should be used;
Devise and propose credible financial risk management strategies based on a range of generic, and structured, financial derivatives;
Critically assess financial risk management strategies proposed by a company’s risk management practitioners.
Key Skills:
Written communication;
Planning, organising and time management;
Problem solving and analysis;
Using initiative;
Computer literacy.
Modes of Teaching, Learning and Assessment and how these contribute to the learning outcomes of the module
The module is delivered via online learning, divided up into study weeks with specially produced resources within each week. Resources vary according to the learning outcomes but normally include: video content, directed reading, reflection through activities, opportunities for self-assessment and peer-to-peer learning within a tutor-facilitated discussion board. Tutors provide feedback on formative work and facilitate discussion board communication as well as being available for individual consultation as necessary (usually by email and Skype).
The summative assessment of the module is designed to test the acquisition and articulation of knowledge and critical understanding, and skills of application and interpretation within the business context.
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Guido J.Deboeck – Trading on the Edge
MIT Press – Introduction to Algorithms
Arie Melnik, Alan Kraus - More on the Short Cycles of Interest Rates (Article)
Michael D.Sheimo – Stock Market Rules (2nd Ed.)
Richard Horwitz – Hedge Fund Risk Fundamentals
Christodoulos Floudas, Panos Pardalos – Encyclopedia of Optimization 2nd Ed
Greg N.Gregoriou – Hedge Funds
Peter Howells – The Economics of Money, Banking & Finance
Karin Knorr Cetina – The Sociology of Financial Markets
Stuart Crainer - The Tom Peters Phenomenon
Harry Schultz – Bear Market Investing Strategies
Bodie Kane Marcus – Investments
Chris Tyler – The Tyler Method For Successful Triangle Trading
Benton E.Gup – Investing Online
Carmine Gallo - Presentation Secrets Of Steve Jobs: How to Be Great in Front of Audience
Bertrand M.Roehner - Patterns of Speculation
John Murphy - Charting Made Easy
Michael Walden – Battleground Business (Vol. I & II)
Apostolos Serlitis - Money & The Economy
Davis Folsom – Encyclopedia of American Business 2 Vol Set
Colin Nicholson - The Aggressive Investor. Case Studies
Kedrick Brown – Trend Trading. Timing Market Tides
Clifford Pistolese - Using Technical Analysis
Salih N.Neftci – An Introduction to the Mathematics of Financial Derivates (2nd Ed.)
Vladimir Cherkassky, Filip Mulier – Learning from Data. Concepts, Theory & Methods
Dan Miller – The Forex Legacy (theforexlegacy.com)
Eric Shawn - PayTrading
Eckhart Tolle - The Power of Now: A Guide to Spiritual Enlightenment
G7 Forex System
Alpesh Patel Package ( Discount 20% )
Larry Williams - Trade Stocks and Commodities with the Insiders. Secrets of the COT Report
Mary Farrell - Spain in the EU
Bruce Gilmore – Trading to Win (Seminar WorkBook 2003)
David A.Strachman – Funds of Funds Investing
J.Peter Steidlmayer, Kevin Koy – Markets and Market Logic
Bradley Cowan – Four Dimensional Stock Market Structures & Cycles
Darrell Duffie – Credit Risk
H.N.Seyhun - Investment Intelligence from Insider Trading
Robert Leeson – The Eclipse of Keynesianism
Eric Verzuh - The Fast Forward MBA in Project Management (2nd Ed.)
Alexander Elder – Trading for a Living
Erica Orloff, Kathy Levinson - The 60-Second Commute
Kathleen Sindell – Investing Online for Dummies
Angus Maddison - The Chinese Economic Perfomance in the Long Run (2nd Ed.)
Barry Herman - Global Financial Turmoil & Reform
Frederic S.Mishkin - The Economics of Money, Banking & Financial Markets (7th Ed.)
John D.McKenzie Jr. – The Student Guide to Minitab Release 14
Aspatore Books – Inside the Minds Leading Wall Street Investors
Michael Connolly – International Business Finance
Anthony M.Gallea, William Patalon - Contrarian Investing
Mark J.P.Anson, Frank J.Fabozzi – Credit Derivates Instruments Applications & Pricing
Phillip Gotthelf – TechnoFundamental Trading
David Stendahl – Using Money Management to Improve Your Trading Performance
John Grisham - The Broker
Simon Cox - Economics. Marking Sense of the Moders Economy (2nd Ed.)
Mary S.Furlong – Turning Silver into Gold
John C. Maxwell - How Successful People Think
CashFlow Heaven – Trade from Anywhere (tradefromanywhere.com)
Phillip I.Good – Introduction to Statistics through Resampling Methods
Jurgen Topper – Financial Engineering with Finite Elements
Daniel Zelterman – Discrete Distributions
David Ricardo - On The Principles Of Political Economy And Taxation
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Bernard Widrow, Samuel D.Stearns - Adaptive signal processing
Stewart Jones - Advances in Credit Risk Modelling & Corporate Bankruptcy Prediction
Harold Kerzner – Project Management (9th Ed.)
Richard J.Teweles – The Stock Market
Candida Ferreira - Gene Expression Programming (2nd Ed.)
James Champy – Reengineering Management Mandate for New Leadership
Austin Passamonte Package ( Discount 25 % )
Neil Leitch - FTSE Wealth Builder
Johnathan Mun - Real Options Analysis - Tools and Techniques for Valuing Strategic Investments and Decisions
David Laro – Business Valuation & Taxes
Linda Raschke – Back to the Future – Schabacker’s Principles
Robert Kiyosaki – 60 Minutes To Getting Rich
Piet De Jong – Generalized Linear Models for Insurance Data
Guiuseppe Migliorino - Il Metodo Torreggiani (Italian)
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Larry Pesavento – Opening Price Principle
Bevis Longstreth - Modern Investment Management & the Prudent Man Rule
Rick Bensignor - New Thinking In Technical Analysis
Khalid Ghayur - Active Beta Indexes
Derek Walker - Procurement Systems: A Cross-Industry Project Management
R3-R4 Momentum Method
Michael J.Panzner – The New Laws of the Stock Market Jungle
Tom Hartle – Market Graphics Trading
Juan R.Rabunal – Artificial Neural Networks in Real Lfe Applications
Bill Williams – Trading Chaos (1ST & 2nd Edition)
Igor Toshchakov – Beat the Odds in Forex Trading
Jay P.DeCima – Investing In Fixer-Uppers
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