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The course introduces basic corporate valuation models and shows how risk arises in firms and how managing that risk can impact the firm's valuation. It shows different ways and contracts that can be used to change the risk profile of the firm. The course will introduce methods including using derivatives to hedge, and the use of insurance and hybrid insurance contracts, and through the adjustment of the capital structure and other financial policies of the firm (dividend payout strategies, optimal compensation, etc.). Throughout the course we will use various risk metrics to demonstrate the impact the risk management strategy has on the firm's exposure to risk and the value that is created by undertaking the activity.

The course is designed to provide information on various types of fixed income securities and markets, theories and concepts of the term structure of interest rates and valuation of fixed income securities, measurement and management of risk for traditional bonds and bonds with embedded options, understanding of the role of derivatives such as mortgage-backed securities, asset-backed securities, swaps and exotic options, credit analysis and bond rating, portfolio management and performance evaluation. This course is generally offered as an intensive elective.

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Suffolk’s MSF degree will help you gain a high-level understanding of corporate finance, portfolio management, investment banking, and international finance, among other topics. You can complete the program in as few as 9 months through a customized track that lets you focus on career-relevant curriculum.

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Suffolk’s MSF is the only program in New England that’s a member of both the Chartered Financial Analyst (CFA) Institute University Affiliation Program and a Global Asscociation of Risk Professionals (GARP) Academic Partner. Your MSF courses will cover many of the key concepts on the CFA Exam. And if you concentrate in Risk Management, you’ll be on track to earn the elite Financial Risk Manager (FRM) designation. Both the CFA and FRM designations will set you apart from much of the competition within the financial industry.

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This is a research paper topic suggestion on Risk Management. The project you see below was developed as a project. Custom research papers on risk management are Paper Masters specialty. The thesis statement regarding risk management that you see here is just a SAMPLE of what we can provide you in research. This reserach paper discusses the risks that are involved in all aspects of projects. Each team member has been asked to prepare by developing, in as much detail as possible, a Risk Management Guideline that describes how you believe the team should proceed in handling all project risks. Include all data in your research paper.

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Risk Management Dissertation – The WritePass Journal

This course introduces the basic principles of corporate finance. The main focus is on fundamental principles such as time value of money, asset valuation, and risk and return tradeoff. Topics to be covered also include cost of capital, capital budgeting, and capital structure.

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This course is required for MSA and MSF students and it is also a recommended elective for MBA students with a finance concentration. This course develops an understanding of the concepts, tools, and applications of economics at both the micro and macro level. The focus is on how economic analysis influences decision-making in the public and private sectors and how economic tools can enhance managerial effectiveness and organizational efficiency. The economic role of government and its impact on the business environment in a market economy, the factors that influence firm performance and competitiveness, and the role of financial institutions in the current economic environment are discussed throughout the course.

Master Thesis In Risk Management

This course extends the body of knowledge acquired in MBA 650. Students expand knowledge of dividend theory, capital structure theory, capital budgeting, long-term financing decisions, cash management and corporate restructuring, market efficiency, and risk and liability management.

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Prerequisites: ACTG 3000 or equivalent, FIN 3010 or FIN 3000 or equivalent, and BIA 6000 or equivalent. Topics include the manager's role in corporate planning, evaluating capital investment proposals, measuring managerial performance, performing cash flow analysis, interpreting and evaluating financial information, and applying the capital asset pricing modeling (CAPM). Not open to students enrolled in the M.S. in Finance program.

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The University offers a Master of Business Administration degree with a concentration in Health Care Management which requires courses in accounting, economics, finance, information systems, management, and marketing.

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The Master of Business Administration with a concentration in Health Care Management requires 48 hours-36 hours in the major plus an additional 12 hours for the Health Care Management concentration.

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(Same as MBAA 6885.) Prerequisites: MBAA 6815 and MBAF 6845. An integrative course in decision making in accounting and finance for MBA students. Topics include financial statement analysis, financial distress and bankruptcy, efficient markets, contracting and agency, and risk analysis.

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