Demonstrate a profound knowledge of how risk management is related to other issues in corporate finance,
document an understanding of viable reasons for corporate risk management and how corporate risk management can create value,
demonstrate the ability to analyze and apply different risk measures,
show a profound understanding of methods and techniques used to measure and manage international risks, interest rate risk, credit risk, and climate risk.
Qualifikationsziele/Kompetenzen:
After a successful completion of the course students are able to:
understand and explain how risk management is related to other issues in corporate finance,
critically assess different motivations for corporate risk management,
understand and critically assess different risk measures and how they are applied in practice,
understand and explain how international risks can be managed and how the management of international risks is related to various economic parity conditions,
understand, analyze and critically apply measures and methods to manage interest rate risk,
understand, analyze and critically apply measures and methods to manage credit risk,
understand, analyze and critically apply measures and risk management strategies for climate risk.