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- 주제분류
- 사회과학 >경영ㆍ경제 >경제학
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- 강의학기
- 2014년 1학기
We basically study about what financial institutions do, what financial risks are, how to manage financial risks, how to understand, interpret and compute risks and volatilities etc. Specifically, we study about
- What financial institutions do to earn profits, including what they trade, how they trade etc.
- In particular, what they do to manage their risks, including commercial and investment banks, insurance companies, mutual funds and hedge funds
- Also, what happened in the credit crisis of 2007 Interest rate risks
= how to interpret and compute value at risk
- how to estimate or predict volatility