Did you know that:
1. you can follow individual semesters/sessions of the VU - Risk Management for Financial Institutions program without having to register for the full MSc degree program?
2. each semester is worth a maximum of 60 CE credits?
3. that the lectures and learning materials are in English?
RMFI semester 3:
Derivatives, Financial Markets and Balance Management
In this semester, the balance management of financial institutions is further explored. For this, students learn to understand the structure and processes of financial markets and financial products and to identify and manage the risks arising from this. Students learn quantitative methods and techniques for valuing derivatives and how these derivatives are embedded in financial products. Students learn to use this knowledge when covering financial risks of products and institutions. Here, attention is explicitly paid to the role of the participants in markets and their contribution to behavioral risk.
Read more about the VU - Postgradute program Risk Management for Financial Institutions here.
*You can also register for half the semester, in which case you pay 3,500 euros per half.