FIN 346 - Financial Risk Management

Provides undergraduate students with an introduction to risk management in financial institutions, specifically at commercial banks and bank holding companies. Covers all major risks including market risk, interest rate risk, liquidity risk, credit risk, and operations risk. Students also gain an understanding on how recent regulations impact banks' risk management practices and the financial system.

Prerequisite(s): FIN 340 and FIN 341.

3 credit(s).

Last Term Offered: Fall 2020