Finance and Business Economics 559:

Management of Financial Risk (3.0 units)

Analysis of commodity, futures, and options contracts; theoretical and empirical approaches; spot and futures price relationships, speculation and hedging strategies; market efficiency.
SectionSessionTypeTimeDaysRegisteredInstructorLocationSyllabusInfo
15443R033Lecture5:00-6:20pmTue, Thu46 of 65Scott JoslinJKP210notesession dates
15444R033Lecture6:30-9:30pmWednesday40 of 48Mick SwartzACC201session dates
Information accurate as of 8/31/2014 3:56 PM.