Educational guide Faculty of Business and Economics |
english |
Bachelor's Degree in Finances and Accounting |
Subjects |
RISK MANAGEMENT IN FINANCIAL OPERATIONS |
Learning outcomes |
IDENTIFYING DATA | 2023_24 |
Subject | RISK MANAGEMENT IN FINANCIAL OPERATIONS | Code | 16204214 | |||||
Study programme |
|
Cycle | 1st | |||||
Descriptors | Credits | Type | Year | Period | ||||
6 | Optional | Third | 2Q |
Competences | Learning outcomes | Contents |
Planning | Methodologies | Personalized attention |
Assessment | Sources of information | Recommendations |
Type A | Code | Learning outcomes |
A1 |
Identify and analyze the risks inherents in investing in fixed income shares. Understand strategies for fixed income portfolio Management. | |
A8 |
Quantify the interest rate risk of a financial operation. | |
Type B | Code | Learning outcomes |
B2 |
Understand problems and be able to break them down into manageable parts. Find appropriate solutions. | |
Type C | Code | Learning outcomes |
C4 |
Produce written texts that are appropriate to the communicative situation |