Dec 06, 2025  
2009-2010 Graduate Catalog 
    
2009-2010 Graduate Catalog [ARCHIVED CATALOG]

Add to Portfolio (opens a new window)

FINAN 510 - Financial Institutions and Markets


An analysis of financial institutions and markets from a risk management point of view. The role of financial institutions in the marketplace, the determinants of interest rates, and the impact of inflation on asset returns will be examined. Risks in financial institutions will be analyzed and management of these risks will be emphasized.




Credits: (3)

Requisites
Pr.: FINAN 450. May be taken concurrently with FINAN 520.

When Offered
I, II



Add to Portfolio (opens a new window)