<- Archives UCL - Programme d'études ->



Risk Management and Financial Institutions [ MGEST2160 ]


5.0 crédits ECTS  30.0 h + 0.0 h   2q 

Teacher(s) Platten Isabelle ;
Language French
Place
of the course
Mons
Prerequisites

MGEST1219 Finance

Main themes

The course introduces, analyses and quantifies the risks
managed by financial institutions. On completion of this
course, students will have knowledge of the main financial
institutions and the regulations governing them. They will
understand how market, credit, liquidity and operational
risks are managed.

Aims

At the end of this course, students will be able to:
- Identify and describe the main risks faced by financial
institutions (banks, insurance companies and pension
funds, mutual funds).
- Explain the trade-off between risk and return and how
financial institutions make money by taking on and
managing risk.
- Identify and describe the main techniques banks use to
measure and manage risks (credit risk, market risk,
operational risk, liquidity risk).
- Explain the prudential regulation framework of the
financial sector and its effect on financial institutions' risk
taking.

Cycle et année
d'étude
> Master [120] in Management
> Master [120] in Business Engineering
> Master [120] in Business engineering
> Master [120] in Management
Faculty or entity
in charge
> BLSM


<<< Page précédente