BUFN754

Corporate Risk Management

Surveys the theory and practice of financial risk identification, measurement, and mitigation at financial and non-financial firms. Topics will include hedging with options and futures, interest rate risk management, Value-at-Risk (VaR), Cashflow-at-Risk (CaR), Earnings-at-Risk (EaR), credit risk, equity risk, commodities risk, exchange rate risk, and lessons from risk management disasters.

Past Semesters

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During the Spring 2020 and Spring 2021 semesters, students could choose to take some of their courses pass-fail mid-semester which skews grade data aggregated across multiple semesters.

Average GPA of 3.44 between 853 students*

BUFN754 Grade Distribution+-0510152025303540455055% of studentsABCDFWother
A-: 20.63%
A: 25.56%
A+: 7.5%
B-: 7.39%
B: 17.12%
B+: 18.76%
C+: 0.94%
F: 0.23%
W: 1.88%
* "W"s are considered to be 0.0 quality points. "Other" grades are not factored into GPA calculation. Grade data not guaranteed to be correct.