Course unit title |
Risk Management and Derivative Finance |
Course unit code |
MNK313 |
Type of course unit (compulsory, optional) |
optional |
Level of course units (according to EQF: first cycle Bachelor, second cycle Master) |
The first cycle of Bachelor Degree Program |
Year of study when the course unit is delivered (if applicable) |
2020 - 2021 |
Semester/trimester when the course unit is delivered |
The 6th Semester of Bachelor Study |
Number of ECTS credits allocated |
4.8 Credits |
Name of lecturer(s) |
|
Learning outcomes of the course unit |
After completing this course, the students are expected to have the competency in evaluating the effectiveness of risk management techniques. |
Mode of delivery (face-to-face, distance learning) |
Face-to-face and distance learning (using https://hebat.elearning.unair.ac.id/ ) |
Prerequisites and co-requisites (if applicable) |
Financial Management II |
Course content |
|
Recommended or required reading and other learning resources/tools |
Financial Management II |
Planned learning activities and teaching methods |
Lectures, Discussions, and Quizzes |
Language of instruction |
Indonesian |
Assessment methods and criteria |
Midterm & Final exams (60%), Paper Assignments (20%), and Classroom Activities (20%) |
Bachelor of Management
Risk Management and Derivative Finance
- Details
- Category: Bachelor of Management courses
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