RSM8301H: Analytical Methods in Finance

This course covers financial institutions, financial markets, and the management of different types of risk. It explains the types of funds that are created as investment vehicles and how measures such as value at risk and expected shortfall are used. It covers market risk, credit risk, operational risk, liquidity risk, and model risk and discusses the way the financial landscape is changing. The course will include a major NLP case study.

0.50
St. George