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Nov 22, 2024
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FIN 435 - Risk Management in Financial Institutions Units: 3 This course examines the US financial system. Topics include Federal Reserve mandates of monetary policy; money and mortgage markets; risk management and techniques in financial institutions; and issues leading up to financial crises.
Prerequisites: FIN 300. Possible Instructional Methods: On-ground or Online-Asynchronous. Grading: A-F grading only. Course Typically Offered: Fall & Spring
Student Learning Outcomes - Upon successful completion of this course students will be able to: - Describe, discuss, and apply contemporary financial measures of risk management and performance.
- Identify the role of the US Federal Reserve system, including its dual mandate, monetary policy tools, and the impact on the yield curve.
- Evaluate the economic environment and the impact of regulatory policies on consumers and financial institutions. Develop and present the various markets for securities and understand their role in financial markets.
- Analyze contemporary measures of risk management and practices in financial institutions.
- Critically evaluate trends and risk factors leading up to financial crises.
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