FINANCE 528Q

Derivatives

Duke University · UGRD · Fall 2026

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Explores key issues in derivatives and financial risk management. It develops tools for valuing and modeling the risk exposures of derivatives, with the ultimate goal of deploying these instruments in a corporate or financial risk management setting. The course is divided into three parts, covering (1) linear instruments including forward, futures and swaps, (2) non-linear instruments such as options, and (3) corporate finance and risk management applications of both types of instruments. This course is for MQM: Business Analytics students.

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Class #duke-FINANCE528QFall 2026UGRD3 credits
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