E&F130

Derivatives & Risk Management

Part of the Master of Financial Analysis at UNSW Sydney.

Course code
E&F130
Credits
12
When
Semester 1
Part of
Master Economics & Finance

About this course

Pricing and hedging financial risk.

What you will study

OptionsVaRhedging

Skills you gain

Micro/macroeconomics, econometrics, financial modelling, valuation, risk and quantitative methods.

Career pathway & market demand

Quantitative finance, economics and fintech roles reward internationally mobile graduates, particularly in global financial centres such as London, New York, Singapore and Zurich. Financial analyst, economist, investment banker, quant, risk manager, actuary, policy economist, fintech product lead.

Interested in Derivatives & Risk Management?
This course is part of the Master of Financial Analysis. Apply to the full degree and get matched to the Australia student visa in one go.