The CIM Courses system will be down temporarily undergoing routine maintenance.
May 21, 2016 by Kathleen Rogan (krogan)
CAMA 6002 : Corporate Finance and Risk Management
Sat, 21 May 2016 08:43:28 GMT
Wed, 06 Jan 2016 02:59:48 GMT
Programs referencing this course
CM-GC: Capital Markets
School of Business
School of Business (SB)
Long Course Title
Corporate Finance and Risk Management
Short Course Title
Corp Finance & Risk Mgmt
Number of Credits
Default Grading Method
students enrolled in the Graduate Certificate in Capital Markets program
Repeatable for Credit?
Frequency of Offering
Are there Course Equivalents?
Are Fees Applicable?
Explanation and Description of Fees
Are Additional Resources Required?
Explanation of Additional Resources
Justification for Additional Resources
Describe any Sources of Additional Funding
Introduction to concepts of corporate finance and risk management. Bond valuation, stock valuation, determining cost of capital and risk management, with an emphasis on emerging markets and small and medium enterprises.
Learning Objectives: 1. To provide students with the analytical tools and conceptual framework needed to evaluate financial transactions and make financial decisions within the firm. 2. To deepen students' background on the interaction process between business enterprises and capital markets. 3. To build an understanding of access to finance from the perspective of small and medium enterprises. 4. To understand about financial risks and learn the tools to hedge for these risks. 5. To develop both theoretical methodologies and a set of practical skills in Finance through real world projects and assignments.
Uploaded a Course Syllabus
CAMA 6002 Corporate Finance and Risk Management.docx
Explanation of how the course differs from similar GW courses
Course Required for new Graduate Certificate in Capital Markets.
Course Reviewer Comments