Course 2022-2023

Financial risk management [ELFIM405]

  • 5 credits
  • 45h
  • 2nd quarter
Language of instruction: French / Français

Learning outcomes

After completing this course, students will be able to conduct in depth risk analysis.

Content

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).


Teaching methods

The course is based on lecture and in-class présentation and lab exercises. 

Evaluations

Written exam + case study + oral presentations

Recommended readings

Value at Risk (Philippe Jorion)

Language of instruction

French / Français

Location for course

NAMUR

Organizer

Faculté des sciences économiques, sociales et de gestion
Rue de Bruxelles, 61
5000 NAMUR

Degree of Reference

Master's Degree