|Student Contribution Band:||Band 3|
|Administered by:||College of Business, Law & Governance|
In this subject students will examine the different approaches to managing risk within the context of financial institutions, such as commercial banks and non-bank financial institutions. The issues of risk and risk management addressed in this highly controversial area are the disruptions caused in the markets leading up to and following the GFC (global financial crisis). Also examined is a detailed review at how financial institutions need a better understanding of how risk is managed. The main theme focuses on the risks facing managers of commercial banks and other financial institutions within the context of the financial system.
|Prerequisites:||BU1002 OR BU1902 AND BU1003 OR BU1903|
|JCU Singapore, Internal, Study Period 52|
|Census Date 05-Aug-2021|
The student workload for this 3 credit point subject is approximately 130 hours.
Note: Minor variations might occur due to the continuous Subject quality improvement process, and in case of minor variation(s) in assessment details, the Subject Outline represents the latest official information.