Course Description

The course presents techniques and tools designed to assist managers evaluate risks and opportunities in the global financial environment. You will first discuss the international financial environment's major players, major instruments, and structure. You will then examine the measurement and management of the exchange rate risk. By the end of the course, you will:

  • acquire a good understanding of the international financial environment including flow of funds, international financial markets, and exchange rate determination
  • understand exchange rate behavior including government influence
  • know how to apply risk management techniques via the use of derivative instruments
  • develop skills relating to long-term asset and liability management from a multinational perspective
  • comprehend the relationship between exchange rates interest rates and inflation
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