Teaching GuideTerm
Faculty of Economics and Business
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Máster Universitario en Economía
 Subjects
  Techniques for market risk measurement
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Identifying Data 2020/21
Subject (*) Techniques for market risk measurement Code 611532022
Study programme
Máster Universitario en Economía
Descriptors Cycle Period Year Type Credits
Official Master's Degree 2nd four-month period
First Optional 3
Language
Teaching method Face-to-face
Prerequisites
Department Departamento profesorado máster
Coordinador
E-mail
Lecturers
E-mail
Web http://www.usc.gal/gl/centros/ecoade/materia.html?materia=144270
General description Entender diferentes medidas de risco como VaR, TailVar, Regreat ou risco sistémico. Capacidade para estimar e aplicar diferentes modelos de estimación de risco de mercado. Adquirir a capacidade para entender e desenvolver modelos con volatilidades e correlacións para valorar riscos de tipos de interese sobre un activo ou unha carteira de activos. Capacidade para aplicar diferentes técnicas de estimación do risco de crédito
Contingency plan 1. Modifications to the contents 2. Methodologies *Teaching methodologies that are maintained *Teaching methodologies that are modified 3. Mechanisms for personalized attention to students 4. Modifications in the evaluation *Evaluation observations: 5. Modifications to the bibliography or webgraphy
(*)The teaching guide is the document in which the URV publishes the information about all its courses. It is a public document and cannot be modified. Only in exceptional cases can it be revised by the competent agent or duly revised so that it is in line with current legislation.
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