Academic Calendar 2022-2023

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ECON 322 Financial Markets and Risk Management

ECON 322  Financial Markets and Risk Management  Units: 3.00  

An in-depth coverage of portfolio selection theory, performance evaluation and derivative pricing theory. Portfolio risk management and hedging are introduced. Discussions on widely used derivative products including futures and options. Students will be exposed to the most recent developments in financial markets.
LEARNING HOURS 120 (36L;12G;72P).

Requirements: Prerequisite ECON 212 and (ECON 250 or STAT 263 or COMM 162) and (MATH 120 or MATH 121 or [MATH 123 and MATH 124] or MATH 126 or COMM 161). Exclusion COMM 324.  
Offering Faculty: Faculty of Arts and Science