FINE 4140

Risk Management

Tulane University of Louisiana · UGRD · Fall 2026

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This course focuses on (1) identifying financial risks associated with interest rates, currencies and commodities (2) the properties, payoff structures, trading mechanisms, and valuation of key financial derivatives, such as forwards, futures and options (3) understanding why and how firms hedge risk using derivatives.

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Class #tulane_louisiana-6359Fall 2026UGRD3 credits
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