The post-Global Financial Crisis landscape is evolving rapidly for risk managers and many organisations continue to review their approach to risk management. This unit reflects new trends in risk management practice, driven by new research and industry developments. Potential topics include: credit and lending decisions post-Global Financial Crisis, enterprise risk management, and new markets for energy/commodities/emissions. -- Course Website
Instructor: Associate Professor Elizabeth Sheedy
Prerequisites: (Admission to MAppFin or PGCertAppFin) and ECFS868