- 来自www.futurelearn.com
Risk Management in the Global Economy
- 免费获取
- 免费证书
- 4 序列
- 等级 介绍
- 从13 十一月 2016开始
- 以11 十二月 2016结束
课程详情
教学大纲
With experts from the Centre for Financial and Management Studies at SOAS University of London, you’ll look at practical examples of financial investments, to examine:
- the main functions of finance and of risk management
- the main forms of financial investment, such as stocks and bonds, derivatives, futures and options, hedging and speculation strategies
- how firms hedge risk by using financial derivatives
- how risk management is applied in the financial and in the non-financial sector.
By the end of the four-week course, you’ll be able to:
- understand financial markets and the principles of risk management
- understand the main types of risk and evaluate the methods and tools used by firms to manage risks
- examine ideas and methods used in the analysis of portfolios of financial securities, including stocks and bonds
- explain the use of financial derivatives for hedging (reducing risk) and speculation (increasing risk) in financial markets
- evaluate the application of risk methods and risk management tools in the global economy
先决条件
讲师
Pasquale Scaramozzino
I am a Professor of Economics in the School of Finance and Management at SOAS, University of London. My main research interests are in financial economics, macroeconomics and applied econometrics.
编辑
平台
FutureLearn est une plate-forme d'apprentissage proposant des formations en ligne ouvertes à tous (MOOC)
Fondée en Décembre 2012, la société est entièrement détenue par l'Open University à Milton Keynes, en Angleterre.
Elle est la 1ère plateforme offrant des MOOC au Royaume-Uni, avec à son actif plus d'une cinquantaine d'universités partenaires provenant du Royaume Uni mais aussi du reste du monde.
FutureLearn se différencie également par des partenariats avec des entités non-universitaires comme le British Museum, le British Council, la British Library et la national Film and Television School.