Financial Risk Management - Portfolio Theory and Derivatives
15 creditsFinancial Risk Management - Portfolio Theory and Derivatives, 15 credits
Autumn 2024, Full-time, Linköping
Semester
Autumn 2024
Place of study
Linköping
Pace of study
Full-time
Level
Second cycle
Teaching form
On-Campus
Education Time
Day-time
Education Language
Swedish
Course offering id
LIU-42271
Period
202434 - 202443
Number of Places
3
Specific requirements
- Economics, basic courses, 30 ECTS credits, Economics, continuation courses, 30 ECTS credits, and Economics, in-depth courses, 30 ECTS credits, with at least 60 ECTS credits approved
- 15 ECTS credits in Corporate Finance
- English and Swedish corresponding to the level of English and Swedish in Swedish upper secondary education (Engelska 6 and Svenska 3)
Selection
Tuition fees
SEK 22200 - NB: Applies only to students from outside the EU, EEA and Switzerland.