Financial risk management
- UE code ELFIM405
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Schedule
45Quarter 2
- ECTS Credits 5
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Language
Français
- Teacher Gnabo Jean-Yves
After completing this course, students will be able to conduct in depth risk analysis.
Risk is a very broad notion. For some people, it refers to the performance variance, for others it corresponds to the likelihood of a negative outcomes, others are even mainly concerned with the potential failure of achieving a given target performance level. The aim of this course entitled "Financial risk management" is among other things, to clarify the notion of risk and to offer an in-depth presentation of the main techniques and methods designed to measure, analyze and forecast risk. Two types of risk will be especially scrutinized : the 'credit risk' and the 'market risk' through the VaR analysis (Value at Risk).
Written exam + case study + oral presentations
Value at Risk (Philippe Jorion)
Training | Study programme | Block | Credits | Mandatory |
---|---|---|---|---|
Master 120 en sciences de gestion, à finalité spécialisée en Business Analysis & Integration | Standard | 0 | 5 | |
Master 120 en ingénieur de gestion, à finalité spécialisée en data science | Standard | 0 | 5 | |
Master 60 en sciences de gestion | Standard | 0 | 5 | |
Master 120 en sciences de gestion, à finalité didactique | Standard | 0 | 5 | |
Master 120 en ingénieur de gestion, à finalité spécialisée en Analytics & Digital Business | Standard | 0 | 5 | |
Master 120 en ingénieur de gestion, à finalité spécialisée en data science | Standard | 1 | 5 | |
Master 60 en sciences de gestion | Standard | 1 | 5 | |
Master 120 en sciences de gestion, à finalité didactique | Standard | 1 | 5 | |
Master 120 en ingénieur de gestion, à finalité spécialisée en Analytics & Digital Business | Standard | 1 | 5 | |
Master 120 en sciences de gestion, à finalité spécialisée en Business Analysis & Integration | Standard | 1 | 5 | |
Master 120 en sciences de gestion, à finalité didactique | Standard | 2 | 5 |