Managing Financial Risk
Course Level Postgraduate
Course Level Postgraduate
                                                        Area/Catalogue
                                                        
BANK 5016
                                                    
                                                        Course Level
                                                        
Postgraduate
                                                    
                                                        Offered Externally
                                                        
Yes
                                                    
Note: This offering may or may not be scheduled in every study period. Please refer to the timetable for further details.
Course ID
101860
                                                        Unit Value
                                                        
4.5
                                                    
                                                        University-wide elective course
                                                        
No
                                                    
                                                        Course owner
                                                        
School of Commerce
                                                    
To provide students with a comprehensive introduction to the financial risks faced by financial, and non-financial organisations.
Risks faced by the financial institution: market risk, credit risk, operational risk, risks in the regulatory environment. Risk management frameworks, policies and implementation systems, in the financial and non-financial corporate sectors. Measuring financial risks and the implications of model risk for their measurement. Portfolio analysis and the measurement of risk. Measuring risks in detail: market risk and the VaR and CFaR approaches; credit risk, credit ratings and contingent claims; and actuarial approaches in insurance. The management of risks: banks, non-bank financial institutions and non-financial corporations. The future of risk management and the convergence of insurance risk management with financial risk management.
Crouhy, M, Galai, D, & Mark M 2006, The Essentials of Risk Management, McGraw-Hill, New York
| Subject Area & Catalogue Number | Course Name | 
|---|---|
| Group 2 | |
| BUSS 5249 | Managerial Finance | 
| Group 1 | |
| BUSS 5233 | Corporate Finance | 
Nil
| Component | Duration | ||
|---|---|---|---|
| INTERNAL, CITY WEST | |||
| Seminar | 3 hours x 13 weeks | ||
| EXTERNAL, CITY WEST, DISTANCE EDUCATION | |||
| External | x 13 weeks | ||
Note: These components may or may not be scheduled in every study period. Please refer to the timetable for further details.
Assignment 1 - Individual, Assignment 2 - Group, Examination
                EFTSL*: 0.125
                Commonwealth Supported program (Band 3)
                To determine the fee for this course as part of a Commonwealth Supported program, go to:
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Fee-paying program for domestic and international students
International students and students undertaking this course as part of a postgraduate fee paying program must refer to the relevant program home page to determine the cost for undertaking this course.
Non-award enrolment
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Not all courses are available on all of the above bases, and students must check to ensure that they are permitted to enrol in a particular course.
* Equivalent Full Time Study Load. Please note: all EFTSL values are published and calculated at ten decimal places. Values are displayed to three decimal places for ease of interpretation.