Risk Management of Financial Markets and Institutions, 7.5 credits
Risk Management of Financial Markets and Institutions, 7.5 hp
730G97
Main field of study
EconomicsCourse level
First cycleCourse type
Single subject and programme courseExaminer
Bo SjöCourse coordinator
Bo SjöDirector of studies or equivalent
Mimmi GustafssonContact
Malin Gröndahl Maass, study advisor
Marie Karlsson, administrator
Course offered for | Semester | Weeks | Language | Campus | ECV | |
---|---|---|---|---|---|---|
Single subject course (Full-time, Day-time) | Autumn 2017 | 201749-201803 | English | Linköping, Valla | ||
Single subject course (Full-time, Day-time) | Autumn 2017 | 201749-201803 | Swedish | Linköping, Valla | ||
F7KPO | Bachelor´s Programme in Political science and economics (Economics) | 5 (Autumn 2017) | 201749-201803 | English | Linköping, Valla | E |
F7KPO | Bachelor´s Programme in Political science and economics (Political Science) | 5 (Autumn 2017) | 201749-201803 | English | Linköping, Valla | E |
F7YEF | Business and Economics Programme - International - French (Business Administration) | 5 (Autumn 2017) | 201749-201803 | English | Linköping, Valla | E |
F7YEF | Business and Economics Programme - International - French (Economics) | 5 (Autumn 2017) | 201749-201803 | English | Linköping, Valla | E |
F7YET | Business and Economics Programme - International - German (Business Administration) | 5 (Autumn 2017) | 201749-201803 | English | Linköping, Valla | E |
F7YET | Business and Economics Programme - International - German (Economics) | 5 (Autumn 2017) | 201749-201803 | English | Linköping, Valla | E |
F7YES | Business and Economics Programme - International - Spanish (Business Administration) | 5 (Autumn 2017) | 201749-201803 | English | Linköping, Valla | E |
F7YES | Business and Economics Programme - International - Spanish (Economics) | 5 (Autumn 2017) | 201749-201803 | English | Linköping, Valla | E |
Main field of study
EconomicsCourse level
First cycleAdvancement level
G1XCourse offered for
- Business and Economics Programme - International - French
- Business and Economics Programme - International - Spanish
- Business and Economics Programme - International - German
- Bachelor´s Programme in Political science and economics
Entry requirements
Completed Economics, basic course comprising 30 credits with at least 15 credits approved, or the equivalent. Documented knowledge of English equivalent to Engelska B/Engelska 6.
Intended learning outcomes
After completion of the course the students should be able to:
- explain how financial institutions and markets work, their role in an economy, and why they are considered to require special regulations
- explain different types of risk faced by financial institutions
- identify, measure and manage market and interest rate risks in financial institutions
- from an historical perspective discuss how crises in financial markets are created, and the problems of measuring systematic crises
- explain how regulations of financial markets are constructed and how they have evolved over time as consequences of crises and the development of new financial instruments
- discuss the use of different methods for managing risks in the financial system and within individual financial institutions.
Course content
This course deals with the management and regulations of financial markets and financial institutions. The course combines a historical and institutional perspective on financial crises, with practical risk management for financial institutions. The course has both a contemporary financial institutions management perspective and an historical perspective that helps to understand the challenges in the management and regulation of financial intermediaries and financial markets. The course explains why financial intermediaries exists in the first place, what is interest rates, yields and why fluctuations in interest rates are so critical for risk management; why financial firms and the financial sector are seen as special compared to other firms and sectors in the economy. The course provides a deep understanding of financial crises in a historical perspective; how to identify, measure and manage risks in financial institutions. In particular interest rate risk, credit risk, foreign exchange and liquidity risks. The course gives a good understanding of how to run financial institutions such as banks and treasuries. In addition, why countries end up in a debt crises and how countries can solve their debt crisis.
Teaching and working methods
The course aim is fulfilled through: lectures, seminars, group work, assignments, report writing and presentations, discussion and assessments. Homework and independent study are a necessary complement to the course.
Language of instruction: English
Examination
The course is examined through group assignments and a written exam. Detailed information about the examination can be found in the course’s study guide .
Grades
Three-grade scale, U, G, VGOther information
Planning and implementation of a course must take its starting point in the wording of the syllabus. The course evaluation included in each course must therefore take up the question how well the course agrees with the syllabus. The course is carried out in such a way that both men´s and women´s experience and knowledge is made visible and developed.
Planning and implementation of a course must take its starting point in the wording of the syllabus. The course evaluation included in each course must therefore take up the question how well the course agrees with the syllabus.
The course is carried out in such a way that both men´s and women´s experience and knowledge is made visible and developed.
Department
Institutionen för ekonomisk och industriell utvecklingNo examination details is to be found.
Additional literature
Books
ISBN: 9780691142166
ISBN: 9780071289559
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