Financial 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.

If you have questions about the course, contact us

Anki Rune, administratör

KInga Barrafrem, studierektor

Sebastian Croné, studievägledare

Course syllabus