GMBA 5365
GLOBAL RISK MGT
Kean University · UGRD · Fall 2026
1 section
Catalog description
Global Risk Management is a graduate finance course, which offers effective risk management approaches via use of derivative instruments for managers working in multinational corporations with firm value maximization as the primary corporation objective. The course will cover topics on the relationship between risk management and firm value, types of risk exposure a typical multinational firm should identify and manage, derivative products such as forward, futures, options, swaps and exotic options and how to implement risk-minimizing hedging strategies using these derivative instruments.
Sections
Current meeting, instructor, credit, and enrollment details
001
Availability not recently verifiedClass #kean-GMBA5365Fall 2026UGRD3 credits
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