MGT 244: Corporate Risk Management

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← 2012-13 ← 2012-13 changes (lax) changes (strict) ▾ 2024-25 → 2017-18 →

Units: 4

Hours: Lecture, 3 hours; written case analyses and reports, 3 hours

Catalog page 331

Prerequisites: MGT 202

Description: Provides an overview of derivative financial instruments. Focuses on the use of derivatives to manage risk in a corporate setting. Utilizes the case-method to develop strategies and policies for managing the risk exposure of an enterprise, as well as to assess the relations between risk management and value creation.

Derived Information — The following is not part of the official catalog but is computed from catalog data.
Prerequisite graph not available.
Enrollment History (from UCR Banner, not catalog)
Year F W S Su Total
2025-26 27/70 27/70
2024-25 11/70 11/70
2023-24 30/63 30/63
2022-23 29/63 29/63
2021-22 38/64 38/64
2019-20 40/55 40/55
2018-19 48/75 48/75
2017-18 22/35 22/35
2016-17 41/70 41/70