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Uedu Open / Practice of Finance: Advanced Corporate Risk Management
15.997

Practice of Finance: Advanced Corporate Risk Management

Prof. John Parsons | Spring 2009
Business & Management Finance & Accounting Operations Social Sciences Economics Business Finance Financial Economics
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CC BY-NC-SA 4.0
課程簡介
This is a course in how corporations make use of the insights and tools of risk management. Most courses on derivatives, futures and options, and financial engineering are taught from the viewpoint of investment bankers and traders in the securities. This course is taught from the point of view of the manufacturing corporation, the utility, the software firm—any potential end-user of derivatives, but not the dealer. Most related courses focus on the extensive taxonomy of instruments and the complex models developed to price them, and on ways to exploit mispricing. While this course will make use of some of these pricing models, the focus is on how corporations use the insights and models to improve their operations, to increase the value of their real assets, or to create the financial flexibility necessary to implement their core strategy.
課程資訊
來源MIT 開放式課程
科系Sloan School of Management
語言English
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