FIN 480B
Risk Management
Binghamton University · UGRD · Fall 2026
1 section
Catalog description
This course examines how financial institutions identify, quantify, and manage risk in competitive and highly regulated environments. The focus is on the management of key financial risks-including market risk, credit risk, liquidity risk, and operational risk-and on the tools and models used by financial institutions to measure, price, and control these risks. Prerequisite FIN 311. Course is usually offered in the spring .
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Availability not recently verifiedClass #binghamton-FIN480BFall 2026UGRD4 credits
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