Risk Management with Financial Derivatives


$10.99

In this course on “Risk Management with Financial Derivatives,” students will delve into the fundamental concepts and practical applications of financial derivatives, exploring their role in risk management within the context of Strategic Financial Management.

-
+

Description

In this course on “Risk Management with Financial Derivatives,” students will delve into the fundamental concepts and practical applications of financial derivatives, exploring their role in risk management within the context of Strategic Financial Management. The curriculum covers the intricacies of forwards and futures contracts, shedding light on their significance in mitigating financial risks. Participants will also gain insights into the specific use of financial derivatives instruments, such as commodity futures and stock futures, for effective risk management. The course further illustrates these principles through real-world examples, focusing on Stock Futures as a prominent financial derivatives instrument. By the end of this course, students will have a comprehensive understanding of financial derivatives and their strategic application in risk management scenarios, equipping them with valuable knowledge for sound decision-making in the financial realm.

Rated 4.72 out of 5
★★★★★
80
★★★★
11
★★★
5
★★
2
0
See all 98 reviews