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This course provides an overview of the theory and practice of financial risk management or hedging. Financial risk exposures can be categorised into three areas: interest rate risk, foreign exchange risk and commodity price risk. The focus will be on the methods of identifying and measuring the impact of these exposures and the appropriate instruments to hedge the firm's exposures.
|2020||Semester One full semester||Distance|
|2020||Semester One full semester||Internal||Manawatu Campus|
|2020||Semester Two full semester||Internal||Auckland Campus|
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