Module Title |
Risk Management
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Module Code |
EF309
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School |
DCUBS
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Online Module Resources
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Level |
3
|
Credit Rating |
5
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Pre-requisite |
None
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Co-requisite |
None
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Module Aims
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To familiarise students with the techniques of managing financial risk in the modern business environment
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Learning Outcomes
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Students will examine the riskiness of financial positions from a range of perspectives and will evaluate the techniques and strategies available to manage this risk before making recommendations. The course emphasises the need for the individual to brief his/her superiors on the most appropriate approach to risk management and will require concise and lucid report writing. Coursework will require students to use Datastream, Reuters and other information dealing packages to facilitate evaluation of risk and risk management strategies.
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Indicative Time Allowances
|
|
Hours
|
Lectures |
24
|
Tutorials |
8
|
Laboratories |
0
|
Seminars |
0
|
Independent Learning Time |
43
|
|
|
Total |
75
|
Placements |
|
Assignments |
|
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NOTE
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Assume that a 5 credit module load represents approximately 75 hours' work, which includes all teaching, in-course assignments, laboratory work or other specialised training and an estimated private learning time associated with the module.
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Indicative Syllabus
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Introduction: The significance of financial risk, product innovation and financial risk, importance of risk management in corporate strategy, key elements of successful risk management.
Interest Rate Risk: Sources and Product Set: Fixed income securities and markets, term structure of interest rates, forwards, futures, swaps and options.
Financial Risk Management Strategies: Fixed Income hedging, duration, convexity and bond portfolio immunisation. Basis risk in futures, hedging with options.
Alternative Approaches to Interest Rate Risk Management: Asset and liability management, and usage of caps, floors and collars.
Managing Foreign Exchange Risk: Exposure and risk, internal and external hedging, futures, forwards and options.
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Assessment | Continuous Assessment | 50% | Examination Weight | 50% |
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Indicative Reading List
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Campbell, T.S., Kracaw, W., Financial Risk Management: Fixed Income and Foreign Exchange. Harper Collins, 1993.
Holland, J., International Financial Management (2nd ed). Blackwell Publishers, 1993.
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Programme or List of Programmes
|
AF | BA in Accounting & Finance |
BS | Bachelor of Business Studies |
BSI | Business Studies ( with INTRA ) |
BSSA | Study Abroad (DCU Business School) |
BSSAO | Study Abroad (DCU Business School) |
EBF | BA in European Business (French) |
EBG | BA in European Business (German) |
EBS | BA in European Business (Spanish) |
EBT | BA in European Business (Trans.Studies) |
ECSA | Study Abroad (Engineering & Computing) |
ECSAO | Study Abroad (Engineering & Computing) |
HMSA | Study Abroad (Humanities & Soc Science) |
HMSAO | Study Abroad (Humanities & Soc Science) |
IBLFG | BA in Inter. Business & Lang. (Fr/Ge) |
IBLFS | BA in Inter. Business & Lang. (Fr/Sp) |
IBLGS | BA in Inter. Business & Lang. (Ge/Sp) |
IBLJ | BA in Inter. Business & Lang. (Japanese) |
SHSA | Study Abroad (Science & Health) |
SHSAO | Study Abroad (Science & Health) |
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